Disclosures

Clare Market Investments, LLC is (“Clare Market”) is a Registered Investment Advisor (“RIA)”. Clare Market provides asset management and related services for clients nationally. Clare Market maintains all applicable registration and licenses as required by the various states in which Clare Market conducts business, as applicable. Clare Market renders individualized responses to persons in a particular state only after complying with all regulatory requirements, or pursuant to an applicable state exemption or exclusion.

This website and related material posted herein is to provide general information about Clare Market. It is for informational purposes only. It is not intended as and should not be used to provide investment advice and is not an offer to sell a security or a recommendation to buy a security. Information regarding investment products and services are provided solely to read about our investment philosophy, our strategies and to be able to contact us for further information. The information is derived from sources believed to be reliable and accurate as of the date of this report, but Clare Market has not audited this information to validate accuracy. Further, information may be at a point in time and subject to change.

Market data, articles and other content on this web site are based on generally available information and are believed to be reliable and do not speak to the suitability of any specific proposed securities transaction or investment strategy. Judgement or recommendations found in this report may differ materially from what may be presented in a long-term investment plan and are subject to change at any time and authors will not advise you as to any changes in figures or views found therein. Clare Market does not guarantee the accuracy of the information contained in this web site. The information is of a general nature and should not be construed as investment advice.

Investors should consult with their investment advisor, tax professional, and/or attorney to determine the appropriate investment strategy and investment vehicle before making any investment. Investment decisions should be made based on the investor’s specific financial needs and objectives, goals, time horizon and risk tolerance. Except for the historical information contained in this report, certain matters are forward-looking statements or projections that are dependent upon risks and uncertainties, including but not limited to such factors and considerations such as general market volatility, global economic risk, geopolitical risk, currency risk and other country-specific factors, fiscal and monetary policy, the level of interest rates, security-specific risks, and historical market segment or sector performance relationships as they relate to the business and economic cycle.

Clare Market provides all clients and prospective clients with a copy of our current of Clare Market’s Form ADV Part 2A (“Disclosure Brochure”) and “Privacy Policy”, Form ADV 2B ("Brochure Supplement[s]"), as well as a copy of our firm’s CRS “Client Relationship Summary”, as known as Form ADV Part 3. You may obtain a copy of these disclosures on the SEC website at http://adviserinfo.sec.gov or you may Contact Us to request a copy. If you have any questions regarding Compliance and Regulatory information, please Contact Us
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