Pursuant to Regulation S-P adopted by the Securities and Exchange Commission, it is the policy of Aurora Private Wealth, Inc. (“Aurora”) to keep confidential nonpublic personal information (“information”) pertaining to each current and former client (i.e., information and records pertaining to personal background, investment objectives, financial situation, investment holdings, account numbers, account balances, etc.) unless Aurora is:
- Previously authorized by the client to disclose information to individuals and/or entities not affiliated with Aurora, including, but not limited to the client’s other professional advisors and/or service providers (i.e., attorney, accountant, insurance agent, broker-dealer, investment adviser, account custodian, etc.);
- Required to do so by judicial or regulatory process; or
- Otherwise permitted to do so by law.
The disclosure of information contained in any document completed by the client for processing and/or transmittal by Aurora in order to facilitate the commencement/continuation/termination of business relationship between the client and a nonaffiliated third party service provider (i.e., broker-dealer, investment adviser, account custodian, insurance company, etc.), including information contained in any document completed and/or executed by the client for Aurora (i.e., advisory agreement, client information form, etc.), shall be deemed as having been automatically authorized by the client with respect to the corresponding nonaffiliated third party service provider.
Should you have any questions regarding the above, please contact Aurora’s Compliance Department at (973) 394-1069.
100 Enterprise Drive,
Rockaway, NJ 07866