Privacy Policy

What does Creative Portfolios, LLC, do with your personal information?

Financial companies choose how they share your personal information. Federal law gives our clients the right to limit some but not all sharing. Federal law also requires us to tell you how we collect, share, and protect your personal information. Please read this notice carefully to understand what we do with your personal information.

We do not disclose non-public personal information about our clients or former clients to third parties other than as described below.

Personal information we collect


We collect personal information about you in connection with our providing advisory services to you. This information includes your social security number and may include other information such as your assets, investment experience, transaction history, income, and wire transfer instructions.

How we collect this information


We collect this information from you through various means. For example when you give us your contact information, enter into an investment advisory contract with us, buy securities (i.e., interests in a fund) from us, tell us where to send money, or make a wire transfer. We also may collect your personal information from other sources, such as our affiliates1 or other non-affiliated companies. also uses temporary session cookies2 on all secure pages to assign and store a sessionID to allow you to move uninterrupted between areas of our secure site. This sessionID is also used by us for internal reporting purposes. This sessionID is not personally identifiable to you and this type of cookie does not leave any retrievable information on your hard drive.

How we use this information


All financial companies need to share customers’ personal information to run their everyday business and we use the personal information we collect from you for our everyday business purposes. These purposes may include providing advisory services to you, opening an account for you, processing a transaction for your account, marketing products and services to you, and responding to court orders and legal investigations.

Disclosure to others


We may provide your personal information to our affiliates and to firms that assist us in servicing your account and have a need for such information, such as a broker or fund administrator. We may also disclose such information to service providers and financial institutions with whom we have joint marketing arrangements (i.e., a formal agreement between non-affiliated financial companies that together market financial products or services to you, such as placement agents). We require third-party service providers and financial institutions with which we have joint marketing arrangements to protect the confidentiality of your information and to use the information only for the purposes for which we disclose the information to them. These sharing practices are consistent with Federal privacy and related laws, and in general, you may not limit our use of your personal information for these purposes under such laws. We note that the Federal privacy laws only give you the right to limit the certain types of information sharing that we do not engage in (e.g., sharing with our affiliates certain information relating to your transaction history or creditworthiness for their use in marketing to you, or sharing any personal information with non-affiliates for them to market to you).

How we protect your personal information


To protect your personal information from unauthorized access and use, we use security measures that comply with Federal law. These measures include computer safeguards and secured files and buildings.

Who to contact with questions


If you have any questions about this Privacy Notice, please call Creative Portfolios, LLC, at 301.206.5000 or email

© 2019 Creative Portfolios LLC

Information on this website is for informational purposes only and is not to be construed as an offer to sell or the solicitation of an offer to buy any security. Creative Portfolios LLC is registered as an investment adviser with the Maryland Securities Division. Registration does not imply a certain level of skills or training. More information about the firm, including its investment strategies and objectives, can be found in our ADV Part 2 (Brochure), which is available, without charge, upon request. Our Form ADV contains information regarding Creative Portfolio's business practices, backgrounds of our key personnel and investment risks. Creative Portfolios reserves the right to modify its current investment strategies and opinions based on changing market dynamics, client needs, and the market in general, among others. All investing involves risks. No investment strategy can ensure guaranteed profits, protect against loss and peace of mind. Past performance is not a reliable indicator of future results. Clients may not recover the principal amount invested. Investment portfolios can display higher volatility than the client expects.