CM&Co. is an equal opportunity employer and makes employment decisions on the basis of merit. We want to have the best available persons in every job. We prohibit discrimination, harassment, disrespectful or unprofessional conduct.
We limit access to information to those of our staff and service providers who are involved in offering or administering the services that we offer. We maintain physical, electronic, and procedural safeguards designed to comply with federal standards to protect Information.
Our M&A advisory and capital raising services in the United States are provided by Montminy Securities, LLC (“Montminy Securities”), an SEC registered broker-dealer. We are not a retail broker-dealer, and do not solicit or carry accounts for, or offer or sell securities products to retail customers. Montminy Securities is regulated by FINRA and is a member of SIPC. This website is designed for informational purposes only and does not constitute a solicitation or offer by CM&Co. or its subsidiaries and affiliates to buy or sell any securities, futures, options, foreign exchange or other financial instrument or to provide any investment advice or service. All of our affiliated investment management businesses are registered with the relevant regulatory bodies.
To help the government fight the funding of terrorism and money laundering activities, federal law now requires financial institutions to obtain, verify and record information that identifies each party who becomes a client. In the case of entities, this would include any parties that own 25% or more of such entity.