PrimeTRUST Advisors

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101 College St Ste 1B
Greenville, SC 29601

PrimeTrust Advisors is a highly experienced investment advisory firm based in Greenville, SC, specializing in retirement plans for both institutions and individuals. With over 40 years of expertise, they provide fiduciary guidance to retirement plan sponsors, ensuring confidence in their decision-making process. Their client-centric approach focuses on understanding individual goals without any sales pitches or pressure, making them a trusted choice for those seeking secure retirement income plans.

As fiduciaries, PrimeTrust Advisors prioritize their clients' best interests, setting them apart from other financial professionals who may not adhere to the same standard. Their team, led by founder and president Chip Hunt, along with VP Chief Investment Strategist Jamie and Director of Operations Sheryl, is dedicated to providing insightful resources, articles, and webinars to help individuals make informed financial decisions. With a commitment to privacy and transparency, PrimeTrust Advisors is a registered investment advisor and an ERISA fiduciary, ensuring the highest level of professionalism and trust.

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Services: for you Elliott Davis Investment Advisors Highly Ranked on CPA Wealth Provider Magazine List Elliott Davis Investment Advisors To Hold Retirement Income Security Seminar We collect nonpublic personal information about you from the following sources: Information we receive on applications or other forms and information about your transactions with our affiliates, others, or us. We do not disclose any non-public information about our current or former customers to any non-affiliated 3rd parties, except as permitted by law or in order to provide the current services. Our employees have limited access to your personal information based on their responsibilities to provide products or services to you. Be assured that we maintain physical, electronic and procedural safeguards in compliance with federal standards to protect your information. Private client information will not be disclosed for any purposes of marketing and/or solicitation of business. Pursuant to the Securities Exchange Commission Brochure Rule 204-3, of the Investment Advisers Act of 1940, investment advisers are required to offer a copy of Form ADV, Part II to every advisory client on an annual basis. If you are interested in receiving a free updated 29607. All content on this site is property of Elliott Davis Investment Advisors unless otherwise noted and should not be used without permission. Elliott Davis Brokerage Services, LLC is a member of FINRA and SIPC. Securities Offered through Elliott Davis Brokerage Services, LLC.
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