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All Motif portfolios and investing models are developed through Motif Capital Management. Motif Thematic Portfolios, Motif Impact Portfolios are made available through Motif. Goldman Sachs Motif Structured Notes, Separately Managed Accounts are based on indices and portfolios built and managed by Motif Capital Management.
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Investing in an IPO is subject to unique risks, tolerance for volatility, and potential loss of principal, that customers should be aware of prior to making an investment decision. Motif cannot guarantee the availability of IPO shares for customers, who submit conditional orders as the number of shares requested for distribution may exceed the supply. Important information concerning IPO participation is contained in the Terms and Conditions for IPO Participation.
There are additional risks to consider with Small-Company IPO and secondary offerings including risks of unproven management, companies that may have substantial debt, lack of profitable financial performance, dilution of share value to existing shareholders, liquidity of shares in the marketplace, regulatory uncertainty, and exchange-listing requirements. As with any investment decision you make at Motif, you are responsible for determining whether an investment in an initial public offering, a follow-on offering, or small-cap offering is consistent with your investment objectives and risk tolerance. Read the prospectus carefully before making an investment decision.
Investing in securities involves risks, you should be aware of prior to making an investment decision, including the possible loss of principal. An investment in individual stocks, or a collection of stocks focused on a particular theme or idea, such as a motif, may be subject to increased risk of price fluctuation over more diversified holdings due to adverse developments which can affect a particular industry or sector. Investments in ETFs can include those with a narrow or targeted investment strategy and can be subject to similar sector risks than more broadly diversified investments. Motif makes no representation regarding the suitability of a particular investment or investment strategy. You are responsible for all investment decisions you make including understanding the risks involved with your investment strategy.
Fixed income investments are subject to various unique risks, including changes in credit quality, market valuations, liquidity, prepayments, early redemption, corporate events, tax ramifications, and other factors. Fixed income securities are subject to increased loss of principal during periods of rising interest rates.
The 1 Year Return indicates the performance of these particular Motif Thematic Portfolio over the past year as of 10/29/2018. The Since Inception Return indicates the performance of these particular Motif Thematic Portfolios since their respective inception dates. See how we calculate returns.
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