Twende Asset Management LLC is a subsidiary of Twende Investments LLC (individually or collectively, “Twende”, or The Firm) is an Illinois Registered Investment Advisor. A copy of RIAs Form ADV (firm brochure) will be available on request as well as through FINRA’s website.
The Firm, together with it members, officers, partners, representatives, associates, employees and contractors, will not be held liable for any damages or losses incurred as a result of actions taken or not taken as a result of this presentation.
The information contained in this Presentation is provided for informational purposes only, and should not be construed as legal, tax, investment or other advice on any subject matter. No recipients of content from this Presentation, clients or otherwise, should act or refrain from acting on the basis of any content included in the Presentation without seeking the appropriate legal or other professional advice on the particular facts and circumstances at issue from a duly-licensed professional in the recipient's state. The content of this Presentation contains general information and may not reflect current legal developments, verdicts or settlements.
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Furthermore, The Firm does not wish to represent anyone desiring representation based upon viewing this Presentation in a state where this Presentation fails to comply with all laws and ethical rules of that state. Registered Investment Adviser, or Registered Investment Adviser Representative (“RIA Rep”) may only transact in a particular state after licensure or satisfying qualification requirements of that state, or only if they are excluded or exempted from the state’s broker-dealer, BD agent or RIA agent requirements, as the case may be. Follow-up, individualized responses to consumers in a particular state by the Registered Investment Advisor, or RIA Representative that involve either the effecting or attempting to effect transactions in securities or the rendering of investment advice for compensation, as the case may be, shall not be made without first complying with the state’s broker-dealer, BD agent, Registered Investment Adviser, or RIA agent requirements, or pursuant to an applicable state exemption or exclusion. For information concerning the licensure status or disciplinary history of a broker-dealer, BD agent, Registered Investment Adviser, or RIA agent, a consumer should contact his or her state securities law administrator.
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