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    1. Home
    2. Fiduciary-Based Investment Approach

    Fiduciary-Based Investment Approach

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    For firms in the business of advising wealth management clients, Logia offers a compelling investment proposition. Community banks, law firms, and accounting firms may all serve as a trusted advisor to their clients, but may not have the capability to deliver the investment solutions their clients need.

    Logia’s focus is a natural fit to a fiduciary relationship. We actively manage risk and aggressively manage taxes and expenses in pursuit of superior investment outcomes for clients.

    Our platform allows us to seamlessly work with community banks or other third parties that want to serve as their client’s trusted advisor and incorporate fiduciary principles into an investment portfolio. We are set up to serve as a white-label solution delivered by you, or actively participate in the client relationship. Either way, the Logia proposition offers an opportunity to bring a value-added investment solution to your clients.

    What Makes Us Different

    • Active Risk Management
    • A Better Cost Equation
    • Tax-Aware Trading
    • Institutional Quality Manager Due Diligence
    • Portfolio Customization
    • Portfolio Transitions

    Book a Meeting

    15100 Rosewood Street
    Leawood, KS 66224
    •  Tel: 844-882-0193
    •  jeanne.lipson@sunflowerbank.com
    •  

    Investment advisory services are offered through Logia Portfolio Management LLC (“Logia”), an SEC-registered investment adviser. Logia is affiliated with Sunflower Bank, N.A. (“Sunflower Bank”). Both Logia and Sunflower Bank are wholly owned by FirstSun Capital Bancorp (“FirstSun”).

    Sunflower Bank offers various banking, fiduciary and custody products and services, including discretionary portfolio management. In such cases, Sunflower Bank is responsible for the day-to-day management of these accounts.

    Nothing on this website constitutes investment, legal or tax advice, nor that any performance data or any recommendation that any particular security, portfolio of securities, transaction, investment or planning strategy is suitable for any specific person. Investment advice can only be rendered after the engagement of Logia, execution of required documentation, and receipt of required disclosures. Investments in securities involve the risk of loss. Any past performance is no guarantee of future results. Advisory services are only offered to clients or prospective clients where Logia and its advisors are properly licensed or exempted. For more information, please go to https://adviserinfo.sec.gov and search by our firm name or by our CRD #: 269963.

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