Privacy Policy 

Watchdog Capital has developed the following privacy policy guidelines regarding the collection and use of personal or corporate information that you provide to us. We collect nonpublic personal information about you from the following sources: Information we receive on applications, subscription documents, or other forms and information about your transactions with our affiliates, others, or us. We do not disclose any non-public information about our current or former customers to anyone, except as permitted by law or in order to provide the current services. Our employees have limited access to your personal information based on their responsibilities to provide products or services to you. Be assured that we maintain physical, electronic and procedural safeguards in compliance with federal standards to protect your information.

We are currently registered and able to conduct business in all 50 states, Washington DC, Puerto Rico and the Virgin Islands. We are permitted to conduct business and work with clients only within the states and territories where we are registered.

Check the background of Watchdog Capital, LLC and your investment professional on FINRA’s BrokerCheck

Legal & Disclosures / Customer Relationship Summary / FINRA BrokerCheck

Important Disclosure: Securities and investment banking services offered through Watchdog Capital, LLC, a registered broker-dealer and FINRA/SIPC member.

Watchdog Capital, LLC

850 Pacific Street, Suite 1151 / Stamford, CT 06902

Direct 678-679-8635