About K.W. Chambers
K.W. Chambers & Co. has been successfully navigating clients through a wide variety of political and economic changes for more than 55 years.
Most of our financial advisors own their own business and enjoy the freedom to operate and form client relationships in a way that is most mutually beneficial. As a K.W. Chambers & Co. client, you will find yourself working with representatives that value customer communication, loyalty, and integrity. Our representatives and our staff work hard to create strong relationships with our customers, and we will make every effort to maintain those relationships for years to come.
K.W. Chambers & Co. is affiliated with the other companies comprising the Huntleigh Group. Together, these companies employ value-based, actively managed investment strategies designed to maximize the investment goals of our clients, while providing unparalleled customer service.
K.W. Chambers & Co. is a member of the Financial Industry Regulatory Authority (FINRA), and the Securities Investor Protection Corporation (SIPC). Client accounts are protected up to $500,000 through SIPC. Additional private insurance is provided through our clearing firm, First Clearing¹. First Clearing maintains a program of additional protection provided through a private insurer (currently Lloyd’s of London). For clients who have received the full SIPC payout limit, First Clearing’s policy with Lloyd’s of London provides additional coverage above the SIPC limits for any missing securities and cash in client brokerage accounts up to a clearing-firm aggregate limit of $1 billion (including up to $1.9 million for cash per client). SIPC and the additional protection from Lloyd’s of London do not protect against losses from the failure of a security, nor do they insure the quality of investments or protect against losses from fluctuating market value. All coverage is subject to the specific policy terms and conditions.