Legal Information & Disclosures
Financial Serenity is committed to transparency and regulatory compliance. This page contains important legal documents and disclosures about our services.
Regulatory Documents
Form ADV
Our Form ADV provides detailed information about our business practices, fees, and potential conflicts of interest.
View Form ADV →Form ADV Part 2
This narrative brochure provides detailed information about our advisory services, fees, and business practices.
View Form ADV Part 2 →Form CRS (Customer Relationship Summary)
A brief summary of the types of services we provide and our fees, conflicts of interest, and standards of conduct.
View Form CRS →Policies & Terms
Privacy Policy
Learn how we collect, use, and protect your personal information.
View Privacy Policy →Terms of Use
The terms and conditions governing the use of our website and services.
View Terms of Use →Business Continuity Plan Summary
Our approach to maintaining service during unexpected disruptions.
View BCP Summary →Additional Disclosures
Code of Ethics
Our commitment to maintaining the highest standards of professional conduct.
Regulatory Status
Financial Serenity is a Registered Investment Advisor, committed to serving as a fiduciary for our clients. This means we are legally bound to act in your best interest and provide transparent, conflict-free advice.