Maritime Wealth Advisors, LLC. (“Maritime Wealth”) conducts advisory business through Investment Advisory Group, LLC. (“Investment Advisory Group”), a Registered Investment Advisor ("RIA") with the U.S. Securities and Exchange Commission (“SEC”). Maritime Wealth and Investment Advisory Group are herein collectively referred to as the “Advisor”.

The Advisor provides investment advisory and related services to clients nationally. The Advisor will maintain all applicable notice filings, registrations and licenses as required by the SEC and various state regulators in which the Advisor and its Advisory Persons conducts business. The Advisor 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 is intended to provide general information about the services of the Advisor. It is not intended to offer investment advice or to recommend the purchase and sale of any investment product. Information is provided to learn about our advisory services, our people and to be able to contact us for further information. In addition, additional disclosures are available on the Investment Advisory Group website.

Market data, articles and other content on this website are based on generally-available information and are believed to be reliable. The Advisor does not guarantee the accuracy of the information contained in this website. The information is of a general nature and should not be construed as investment advice.

The Advisor will provide all prospective clients with a copy of our current Form ADV Part 2A ("Disclosure Brochure") and the Brochure Supplement for each Advisory Person supporting a particular client. You may obtain a copy of these disclosures on the SEC website at by searching with the Advisor's CRD# 109445 or you may Contact Us to request a copy.

If you have any questions regarding Compliance and Regulatory information, please Contact Us.

Email Disclosures
The Advisor often communicates with its clients and prospective clients through email and other electronic means. Your privacy and security are very important to us. The Advisor makes every effort to ensure that email communications do not contain sensitive information. We remind our clients and others not to send private information over email as it is not secure. If you have sensitive data to deliver, we can provide secure means for such delivery.

Please note: The Advisor does not accept trading or money movement instructions via email.

Under the supervision of Investment Advisory Group, all Maritime Wealth emails are subject to inspection by the Chief Compliance Officer (“CCO”) of Investment Advisory Group and the securities regulators.

If you have received an email from the Advisor in error, we ask that you contact the sender and destroy the email and its contents.

If you have any questions regarding our email policies, please Contact Us.

Social Websites
The Advisor may utilize third-party websites that include social media websites, blogs and other interactive content. The Advisor considers all interactions with clients, prospective clients and the general public on these sites to be advertisements under the securities regulations. As such, The Advisor will retain a copy of information that the Advisor, its Advisory Persons or third parties may contribute to such sites. This information may be subject to review and inspection by the CCO of Investment Advisory Group and the securities regulators.

Information provided on these sites is for informational and/or educational purposes only and is not, in any way, to be considered investment advice nor a recommendation of any investment product. Advice may only be provided by our advisory persons after entering into an advisory agreement and providing us with all requested information about your background.

If you have any questions regarding our social media policies, please Contact Us.