MAP partners with Financial Advisors to support their client’s investment needs, risk tolerances, and desire for financial peace-of-mind. We provide long-term, outcome-oriented investment solutions that are sensitive to asset preservation, growth goals, and taxes.
The advisors we serve benefit from the experience and capabilities of our portfolio team, a value-investing think tank that has been together for over 20 years. Rooted in daily proprietary research with the use of a strong set of third-party sources, our team develops and implements award-winning investment strategies and decisions for our clients.
Our relationship with advisors are partnerships, and we engage in an ongoing dialogue to fully understand their needs and challenges. Our commitment is to provide investment solutions that meet the advisors and their clients needs.DOWNLOAD INVESTOR DOCUMENTS
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950 W. University Drive, Suite 100 Rochester, MI 48307
Managed Asset Portfolios, LLC is registered as an investment advisor with the United States Securities and Exchange Commission (SEC). Registration as an investment advisor with the SEC is not an endorsement and does not imply any level of skill or training.
Managed Asset Portfolios, LLC claims compliance with the Global Investment Performance Standards (GIPS®). To obtain a compliant performance presentation and/or the firm’s list of composite descriptions please click on the Contact Us portion of this website, or call us directly at (248) 601-6677.
For additional detailed information about Managed Asset Portfolios, LLC including fees, services and other important information, please carefully read our current Client Relationship Summary (ADV Part 3) and Disclosure Brochure (ADV Part 2A) before you invest.
This website does not constitute an offer or recommendation by Managed Asset Portfolios, LLC of any securities, or an offer of services to any person residing in any jurisdiction in which such solicitation would be unlawful under the applicable laws and regulations. Managed Asset Portfolios, LLC complies with the notice filing requirements imposed upon SEC-registered investment advisors by those states in which the firm maintains clients, or qualifies for an exemption or exclusion from the notice filing requirements.
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