Three Dots Advisory LLC
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About
Three Dots Advisory LLC serves high‑net‑worth individuals and provides discretionary portfolio management through separately managed accounts at a single qualified custodian, along with non‑discretionary hourly investment consulting on portfolio allocation and strategy. Advisory services are limited to U.S.‑listed equities, exchange‑traded funds, and exchange‑listed options and are delivered on an account‑by‑account basis.
The firm offers two discretionary approaches: an active long strategy that combines technical and fundamental analysis and may use options, and an index‑enhancement strategy that maintains S&P 500 ETF exposure and can adjust exposure through leveraged ETFs. Services are tailored using questionnaires and client conversations to determine the appropriate active or passive approach, and accounts are monitored on a regular schedule with additional reviews triggered by significant drawdowns or changes in client circumstances.
Noteworthy features include the availability of hourly consulting fees—an uncommon billing arrangement for firms with no active advisors—and the firm’s focus on direct portfolio management for individual SMA clients while explicitly not acting as a private‑fund adviser. The firm also manages accounts side‑by‑side under both asset‑based and performance‑based fee structures, requires clients to custody at a single broker‑dealer to support its operational model, and discloses written allocation, aggregation, and personal‑trading policies to address related conflicts; the brochure represents an initial filing and reports no assets under management to date.
Client services
Expertise
Fee options
1.00% annually (0.25% per quarter)
$300 per hour
20% of net profits, charged only to qualified clients, subject to a high-water mark
Account minimum: $50,000 for accounts charged a management fee only; $1,400,000 in assets under management immediately after entering into the advisory agreement or $2,700,000 net worth (excluding primary residence) for performance fee accounts; minimums may be waived at the Firm's discretion
Main office
132 East 35th St, Apt 12 B
New York NY 10016
Advisors at this office
1
Most active in
New York
Disclosures
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Business activities & affiliations
Is not active or affiliated with:
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Insurance agent
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Broker-dealer / trader
They provide brokerage services and may earn transaction-based compensation in addition to advisory fees.
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Bank
They're affiliated with a bank that may offer its own financial products and services.
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Trust company
They provide trust and estate administration services, typically for separate fees.
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Fund sponsor
They manage or sponsor investment funds and may earn management or performance-based fees if clients invest in them.
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Accountant / CPA / tax prep
They offer tax and accounting services, typically for separate fees.
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Lawyer
They provide legal services, typically billed separately.
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Real estate agent
They facilitate real estate transactions and may earn commissions.
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Other specialized services
They may provide services such as pension consulting or municipal advisory work, typically for separate fees.
Forms ADV
Advisors at this firm
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