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The demands of an ever-changing marketplace

Cape’s Compliance Team is here to bring you new ways to help clients reach their goals while staying in line with their risk guidelines. With professional and productive attention, we help our advisors stay up-to-date with compliant solutions and processes.

In an industry that’s constantly evolving, ensuring compliance is vital to your business continuity. One lapse can be detrimental – something you and your firm cannot afford. The last thing you want is to learn of errors from your clients or from regulators. That’s where Cape’s regulatory expertise enters the picture – to help you avoid the risk of noncompliance and understand the latest compliance best-practices.

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Cape Securities

1600 Pennsylvania Avenue
McDonough, GA 30253

P. (678) 583-1120
F. (678) 583-1258

Securities offered through Cape Securities, Inc., Member FINRA, SIPC, MSRB Registered. Advisory services offered through Cape Investment Advisory, Inc. Clearing services provided by Hilltop Securities, Inc.

Learn about your advisor at FINRA BrokerCheck.

To review our Business Continuity Plan Disclosure, go here.

To review our fee schedule, go here.

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