We are an independent Registered Investment Adviser, are supervised by the U.S. Securities and Exchange Commission, and held to a “fiduciary standard”. As such, we always place the interests and welfare of our clients ahead of our own. Most financial advisors and stock brokers are held to a lesser standard of care known as a “suitability standard”. Under this standard, financial advisors and their firms are allowed to benefit financially at the expense of their client as long as they believe an investment product is merely suitable for their client’s needs. As a client of Portfolio Solutions®, you can trust that we are making decisions that are in your best interest.