Regulatory & Legal Disclosures

Required disclosures, regulatory filings, and legal notices governing the advisory relationship between Mercury Investment Group and its clients.


Form ADV Part 2A — Firm Brochure

Detailed disclosure of Mercury's advisory services, fees, investment strategies, conflicts of interest, disciplinary history, and other material information required by the SEC under the Investment Advisers Act of 1940.

Form CRS — Relationship Summary

A concise summary of Mercury's services, fees, conflicts of interest, standards of conduct, and disciplinary history, prepared in the format required by SEC Regulation Best Interest.

Privacy Policy — Notice to Clients

Mercury's annual privacy notice, describing how client personal and financial information is collected, used, and protected, in accordance with SEC Regulation S-P and applicable Tennessee privacy law.

Mercury Investment Group, LLC is a registered investment advisor with the U.S. Securities and Exchange Commission. Registration does not imply a specific level of skill or training. The information on this website is for informational purposes only and does not constitute investment advice, a solicitation, or an offer to buy or sell any security.

Past performance is not indicative of future results. All investments involve risk, including the potential loss of principal. The value of investments may increase or decrease. Investors should consider their investment objectives, risk tolerance, and time horizon before investing.