Monograph Wealth Firm Disclosures

Monograph is committed to ensuring our relationship with our clients is transparent and fully compliant with the rules and regulations set forth by the Securities and Exchange Commission (SEC) for investment advisors. To that end, we have prepared the following disclosures for private and institutional investors.

Please direct any questions regarding these disclosures or the contents therein to Monograph’s Chief Compliance Officer, Claire Gregory, at claire@mgwealth.com. The SEC also makes general information available on their website here.