Privacy Policy

WRP Investments, Inc. Privacy Notice

WRP Investments, Inc. has always maintained the highest standards of confidentiality and respects the privacy of our clients. In that regard, we are providing this Privacy Notice to all of our individual clients who obtain financial products and services from us for personal, family or household purposes, in accordance with the Title V of the Gramm-Leach-Bliley Act of 1999 and its implementing regulations.

The Information We Collect About You. The non-public personal information we collect about you (“your information”) comes primarily from the account applications or other forms you submit to us. We may also collect information about your
transactions and experiences with us, our affiliates, or others relating to the products and services we provide. Also, depending on the products or services you require, we may obtain additional information from consumer reporting agencies.

Our Disclosure Policies. We may share your Information with non-affiliated companies that perform support services for your account or process your transactions with us. It may also include sharing your information with our Registered Investment Advisory service to bring you the full range of services and products available from WRP Investments, Inc. and our advisory company. Additionally, it may include disclosing your information pursuant to your express consent, to fulfill your instructions, or to comply with applicable laws and regulations.

We will allow your information to be used by your registered representative to assist him/her in transferring your account to a new broker/dealer if he/she terminates his/her securities license with WRP Investments. This information will be used after his/her license is terminated with WRP Investments.

Our Information Security Policies. We limit access to your information to those of our employees, independent contractors and service providers who are involved in offering or administering the products or services that we offer. We maintain physical, electronic, and procedural safeguards that are designed to comply with the federal standards to guard your information. If our relationship ends, we will continue to treat the Information as described in this Privacy Notice.

If for any reason you wish to restrict WRP Investments from sharing information with any other person or institution, you may ask to “opt out” by writing WRP Investments at 4407 Belmont Avenue Youngstown OH 44505, and stating that you do not wish for us to share any of your information with any other person or institutions.

If you have any questions about these Privacy Policies, if you would like another copy, or if you have any questions regarding your account, please feel free to contact our Compliance Department, 800-589-2023. Home office: 4407 Belmont Avenue Youngstown OH 44505 Tel 800-589-2023 Fax 330-759-2046

Please be advised that you may obtain information about SIPC, including the SIPC brochure, by contacting SIPC either by phone (202) 371-8300 or visiting www.sipc.org. Member of Financial Industry Regulatory Authority (FINRA - www.finra.org) & Securities Investor Protection Corporation (SIPC)

R. Lee Laney is a Registered Principal and an Investment Advisor Representatives of and offer securities and advisory services through WRP Investments, Inc., member FINRA & SIPC. Laney Financial is not affiliated with WRP Investments, Inc. Securities activities and advisory services are supervised by WRP Investments, Inc. at 4407 Belmont Avenue, Youngstown, OH 44505 (330) 759-2023. Securities are offered in the following states: OH, KY, IN, PA, TX.