Corporate Investments Group, Inc.
兴昌理财
Established 1995 in Chicago Illinois
Why Choose Corporate Investments Group Inc. ?
Trusted by investors and business owners for over 30 years.
Highly qualified advisors.
Account protection coverage up to USD100 million per account. 3
No cookie-cutter strategies.
401ks and IRAs transfer specialists.
Common sense tax saving ideas for better results.
Tailored program for your unique needs.
International Investors welcome (W-8).
Excellent compliance and payout.
Flexibility to practice without proprietary products or sales pressure.
Robust back office systems from IBKR, AXOS and LSEG.
Reliable assistance and tools for generational wealth portfolio transfers.
Tax-Advantaged Strategies for HNW clients.
Special investment planning for private accredited investors ( adequate net-worth required).
Please read the disclosures below:
Before investing in any ETF, stock, option contract, bond, precious metal, mutual fund and/or any financial products, be sure to carefully consider the investment objectives, risks, charges and expenses involved. Obtaining a reputable 3rd party opinion is strongly recommended. To learn how to obtain further regulatory disclosures and a prospectus (if applicable) containing this and other important information, please contact us at 1 312 225 1388. Please read the prospectus carefully and consult with a qualified investment professional before investing. All investments involve risks including loss of entire principal invested. Past performance of a security does not guarantee future results or success. Testimonial may not be representative of the experience of other clients. Geo-political factor, natural event, market volatility, volume, and system availability may delay account access and trade executions. Trademarks: All trademarks and registered trademarks are the property of their respective owners. All fees subject to change without notice. You have to agree with all the terms as outlined in the various customers agreement forms before using any of our services.
The USA PATRIOT Act, implemented in October 2002, is designed to detect, deter, and punish terrorists in the United States and abroad. The Act imposes new anti- money laundering requirements on brokerage firms and financial institutions. CIG and its clearing entity, as required, have implemented a comprehensive anti-money laundering program. To help you understand these efforts, we want to provide you with some information about money laundering and our steps to implement the USA PATRIOT Act.
Money laundering is the process of disguising illegally obtained money so that the funds appear to come from legitimate sources or activities. Money laundering occurs in connection with a wide variety of crimes, including illegal arms sales, drug trafficking, robbery, fraud, racketeering, securities fraud and terrorism.
Under the rules required by the USA PATRIOT Act, our clearing partner has designated a chief anti-money laundering compliance officer, set up employee training, arranged for independent audits, and established policies and procedures to detect and report suspicious transactions and ensure compliance with the laws. As part of our required program, you will be asked to provide various identification documents. Until you provide the information or documents are needed and until your identity has been verified, you may not be able to open an account or effect any transactions for you. We thank you for your cooperation and hope that you will support us in our efforts to deny terrorists groups’ access to America’s financial system.
Corporate Investments Group, Inc., member FINRA / SIPC maintains registration with the Securities and Exchange Commission of the United States. 488trade is trademarks owned by Corporate Investments Group, Inc. © Corporate Investments Group, Inc.. All rights reserved. Used with permission. Designed and Created in the USA.
The current minimum investment size is $250,000 USD for most new accounts.