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Todd Thompson



About Rogue Advisors, LLC

We are, and believe in the transparency and the benefits of being an independent and "fee- only" Registered Investment Adviser ("RIA"). The fees we receive are for the advice and management that we provide you, not for any transactions. All of our compensation comes from our clients directly. We receive no commissions or fees from any third-party.

An RIA is a fiduciary to their advisory clients. As such we have the liberty to freely counsel our clients avoiding the conflicts of interest suffered by non-fiduciary stockbrokers (also called "Registered Representatives," "Account Executives," "Financial Advisors" or "Wealth Mangers") under the "suitability" standard.

The world of investment advice is plagued with conflicts of interest, obscure disclosure and an overall lack of transparency.  Seeking out an investment adviser who will act as your fiduciary can help to eliminate many of the problems associated with commission-oriented, product focused salespeople.  Because a fiduciary is required, by law, to give full disclosure of how they are paid as well as any conflicts of interest they may have, before you do business with them, you as the consumer are in a better position to make an informed decision.

Our motives are clear; your success is our ambition.