Legal Notice and Disclosure

Dow Wealth Management, LLC, Dow Publishing Company, Inc., and Dow Software, LLC, hereafter referenced as “companies” or “firms,” are separate and independent legal entities.

To the best of their ability, these firms attempt to ensure that all materials presented on this web site are accurate and in compliance with all relevant laws, rules, regulations, and ethical standards to which the companies are subject. Due to the ongoing changes in the laws governing the Internet as a medium, and the dynamic nature of the subject matter of the topics addressed herein, neither the firms nor their agents can accept responsibility for the accuracy, completeness, or suitability of any of the information, opinions, or services provided via this site.

All ideas expressed, all services rendered, and all materials presented via this web site are intended to be strictly educational in nature. Therefore, neither the companies nor their agents render any legal, investment, insurance, or accounting advice or services by means of this site.

For the foregoing reasons, utilization of information from this site is used at your own risk, and you agree not to hold the companies or their agents liable for any damages that you may allege to have incurred as a result of navigating this web site or utilizing any of the information contained herein, either directly or indirectly.

Disclosure: The investment services described on our web site are available only to persons in certain States within the United States. Nothing on our web site shall be considered an offer of our investment services, an offer or solicitation to buy, or an offer to sell a security to any person in any jurisdiction where such offer, solicitation, purchase or sale would be unlawful under the laws of such jurisdiction. In accordance with SEC requirements, non-U.S. investors may contact us for more information about Dow Wealth Management services available to them. Neither Dow Wealth Management nor its representatives provide advice on tax or legal issues. Competent as and legal advice should always be obtained.

What Our Organization Offers

Securities Offered Through 
Bolton Global Capital, Inc
Member FINRA, SIPC
Advisory Services Offered Through
Bolton Global Asset Management, 
a SEC Registered Investment Advisor
DW1/DWA0262b
BNY Melon
State securities laws require that your Financial Representative be registered in the state in which you live. For this listing, please refer to the Broker Check Link provided. 

Check the background of your financial professional or our broker-dealers and registered investment advisor on FINRA's BrokerCheck. ​Bolton Global Capital, Bolton Global Asset Management and their financial professionals do not provide tax or legal services. Bolton Global Capital, LLC, is a registered broker-dealer. For more information, visit https://finra.org or https://sipc.org. Bolton Securities Corporation, d/b/a Bolton Global Asset Management and other trade names, a federally registered investment advisor. 

Click on the following LINK for copies of the firms’ Form ADV, Client Relationship Summary, Brokerage and Advisory Accounts Fee and Conflicts Disclosure and other important disclosure information.
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