The StateTrust Group is a conglomerate of financial companies with broad international recognition, respected for the professionalism and integrity of its management team. Throughout its history, the Group has distinguished itself for its philosophy of prudent wealth management, low debt, and conservative financial balance sheets.
Since its founding in the United States, the Group has expanded to more than twenty countries, through a global network of companies, offices, private bankers, and international representatives. Thousands of families, companies, and trusts have entrusted their assets, retirement, and family protection to the group's companies.
StateTrust provides clients with a suite of comprehensive wealth management, private client, and investment advisory services in global investment management, brokerage and trading, currency exchange, retirement planning, trust services, life insurance, education plans, and institutional solutions.
The StateTrust Group of companies adhere to the highest standards of corporate supervision and operates in line with internationally accepted accounting, financial, and banking principles.
StateTrust (StateTrust Investments and StateTrust Capital) operates under the combined supervision of multiple entities:
United States securities regulators: StateTrust Investments (SEC, FINRA), StateTrust Capital (SEC)
External auditors (independent external audits are conducted yearly).
Internal audits are conducted multiple times a year to ensure compliance, process and procedures are being followed and are in place.
Continuous independent reviews are performed by:
Directors & Committees.
Finance and Accounting Personnel.
If you are interested in more information about StateTrust Wealth Management services or for further information about this release, please contact: