Important regulatory and compliance information.
The following documents are required by the SEC and should be reviewed before engaging our advisory services:
Required information about our advisory services, fees, conflicts of interest, and disciplinary history.
How Wealth Watch Advisors, Inc. collects, uses, and protects your personal and financial information.
Information about Jordan Hyde including educational background, business experience, disciplinary history, and outside business activities.
Additional information about Jordan Hyde and Wealth Watch Advisors, Inc. is available at www.adviserinfo.sec.gov. Contact jordan@hydelegacygroup.com to request copies of any document.
Investment advisory services are offered through Wealth Watch Advisors, Inc., an SEC-registered investment adviser. Hyde Legacy Group, LLC is a DBA (doing business as) of Wealth Watch Advisors, Inc. Wealth Watch Advisors, Inc. and Hyde Legacy Group, LLC are independently owned and operated. All investment advisory services are conducted under and supervised by Wealth Watch Advisors, Inc.
Important: Hyde Legal Group Is a Separate Entity
Hyde Legal Group is a separate and independent law firm. It is not owned by, affiliated with, or under common control with Hyde Legacy Group, LLC or Wealth Watch Advisors, Inc. Hyde Legal Group and Hyde Legacy Group do not share ownership, management, employees, offices, or revenue.
When Hyde Legacy Group references coordination with attorneys, including those at Hyde Legal Group, this means we may refer clients or communicate with independent legal professionals on a case-by-case basis at the client's direction. This does not constitute a joint venture, partnership, or integrated service offering. Clients are free to choose any attorney of their preference.
Any legal services provided by Hyde Legal Group or any other law firm are subject to a separate engagement agreement between the client and that firm. Hyde Legacy Group and Wealth Watch Advisors receive no compensation, referral fees, or financial benefit from any legal services provided by Hyde Legal Group or any other law firm.
Jordan Hyde is an Investment Adviser Representative (IAR) of Wealth Watch Advisors, Inc. Hyde Legacy Group, LLC operates as a DBA (doing business as) of Wealth Watch Advisors, Inc. Jordan holds Series 65 and Series 63 licenses. Registration as an investment adviser or investment adviser representative does not imply a certain level of skill or training. Ca Lic. #4193743 | AR Lic. #19400017.
This website is for informational purposes only and does not constitute an offer to sell or a solicitation of an offer to buy any security or investment product. Past performance is not indicative of future results. All investments involve risk, including the potential loss of principal.
The information provided on this website is not intended as tax, legal, or accounting advice. Clients and prospective clients should consult with their own tax, legal, and accounting advisors before engaging in any transaction.
Material Conflict Disclosure
Jordan Hyde is a licensed insurance agent and may recommend insurance products offered by carriers for whom he functions as an agent. He receives a commission for the sale of insurance products. Some Wealth Watch Advisors, Inc. clients may also purchase insurance products from Mr. Hyde.
Fees paid to Wealth Watch Advisors, Inc. and Mr. Hyde for advisory services are separate and distinct from the commissions earned by him in his capacity as an insurance agent. This creates a potential conflict of interest in that there is an economic incentive to recommend insurance and other investment products of such carriers.
Mr. Hyde strives to put clients' interests first and foremost. Clients may utilize any insurance carrier or insurance agency they desire and are under no obligation to purchase insurance products from Mr. Hyde. Clients may use the insurance brokerage firm and agent of their choice.
Case studies, planning scenarios, and hypothetical illustrations presented on this website are for educational purposes only. They do not represent actual client results and are not guarantees of future performance. Individual outcomes depend on personal circumstances, market conditions, tax laws, and other variables. No representation is being made that any client will or is likely to achieve results similar to those discussed.
Our Form CRS (Client Relationship Summary) provides important information about our advisory services, fees, conflicts of interest, and disciplinary history. You may also contact us directly at jordan@hydelegacygroup.com or (210) 269-2853.
Our ADV Part 2 brochure provides detailed information about our advisory business, fees and compensation, investment strategies, and potential conflicts of interest. A copy is available upon request by contacting us directly.
Hyde Legacy Group's advisory fees and compensation structure are disclosed in our ADV Part 2 brochure. Fee arrangements may include asset-based fees, fixed fees, or hourly fees depending on the services provided. Clients should review the ADV Part 2 for complete details before engaging in an advisory relationship.
Hyde Legacy Group and its representatives may have conflicts of interest in connection with providing advisory services. These conflicts are disclosed in our ADV Part 2. Clients are encouraged to ask questions about any potential conflicts and to review all disclosure documents carefully.
Educational webinars and events hosted by Hyde Legacy Group are for informational purposes only. No advisory relationship is formed by attending. Content discussed does not constitute personalized advice. Attendees should consult their own advisors before acting on any information presented.
If you have a complaint about our services, please contact us directly at jordan@hydelegacygroup.com. You may also contact the SEC at sec.gov/tcr or FINRA at finra.org with complaints about investment advisers.
Reviews are voluntarily provided and not compensated. They may not be representative of all client experiences. Past performance and client satisfaction do not guarantee future results. Advisory services offered through Wealth Watch Advisors, Inc., a registered investment adviser.