Legal / Compliance
At Trusco, we take our legal, regulatory, compliance, and fiduciary responsibilities very seriously. As an SEC Registered Investment Adviser, we hold ourselves to the highest standards and are subject to various federal, state, industry, and firm specific rules and regulations. In addition, many of our investment managers and analysts are Chartered Financial Analyst charter holders and thus subject to the the CFA Institute strict ethical and client asset management requirements.Learn more about our: