My RIA Lawyer is a law firm focused on the RIA space. We provide legal, compliance and operations consulting services to Registered Investment Advisors, Broker-Dealers, Investment Managers, Registered Representatives, Insurance Providers, Investment Bankers, ERISA fiduciaries, Commodities Trading Advisors, Digital Asset Managers and Alternative Investment Advisors.
Let’s be real. You would rather meet with prospective clients and provide them services than do compliance tasks. Why? Because working with clients MAKES YOU MONEY. Compliance is not a revenue generating activity, BUT a robust compliance program can SAVE you money. Give My RIA Lawyer a call today to learn more about our new and more expansive RIA services and how they can help.