Peter R. Mack & Co., Inc., established in 1991, is an SEC-registered broker/dealer specializing in equities, fixed income, options, and exchange-traded and mutual funds for individual investors. The Firm conducts all of its business activities using National Financial LLC (NFSC), the brokerage subsidiary of Fidelity Investments, as its clearing agent. All customer assets are held by NFSC and each account is protected for $500,000 by SIPC (Securities Investor Protection Corporation) and an additional $99.5 Million by private insurers.

Peter R. Mack, the General Securities Principal of the Firm, has been active in the investment business for 40 years. He also serves as President of PRMCO Advisors, a related asset management company currently in formation.

Business Continuity Plan

Notes From The Front

Hedge clause/Disclaimer. Peter R. Mack is an SEC registered General Securities Principal, Compliance Principal, Municipal Securities Principal, Registered Options Principal, Registered Investment Advisor and the President of Peter R. Mack & Co., Inc. and PRMCO.Advisors.Inc. Although efforts will be made to attempt verification of any material fact contained herein, neither Peter R. Mack, nor corporate entities associated with Mr. Mack should be deemed to be responsible for the accuracy of any of that information contained herein. Peter R. Mack or managed accounts or any entities connected thereto may from time to time buy or sell, long or short, shares of any security mentioned herein, and Mr. Mack will undertake to clearly identify any vested interest he may have in the directional price movement of any security mentioned herein as well as ownership interest. Mr. Mack disclaims any responsibilty for losses sustained by any individual whose actions are related to information presented on this website.