Progress Investment Management Company, LLC, is a registered investment adviser with the Securities and Exchange Commission (SEC) under the Investment Adviser Act of 1940.
We do not share nonpublic information with outside companies, unless requested by our parent company;
In becoming more efficient, Progress may, on occasion, provide examples of reports and products to their affiliates for evaluation and analysis of the report production process or methods. These are shared with affiliates only upon execution of non-disclosure agreements.
We may collect nonpublic information about you from the following:
Applications and other documents containing your name, address, telephone number and tax identification number, e-mail address;
Individual beneficiaries of our clients’ pension plans are never revealed.
Information is retained on individuals who are institutional representatives to Progress, such as decision-makers, administrators, and staff advisors as well as third party pension consultant contact data. None of this information is personal financial information, rather normal business-to-business customer relationship management information.
Information derived from a financial service that is specific to an institutional client is available only to that client and its designees.
We do not disclose any nonpublic information about our clients and/or sub-advisors to anyone, except as permitted by Law;
We may disclose our client list to the public, including the type of service Progress renders, length of the client relationship and the assets under management for marketing purposes only; we never disclose client contact information to third parties;
We maintain physical, electronic, and procedural safeguards to protect personal information we obtain about our clients;