CKG Management is not a financial advisor and does not provide financial management services. CKG Management administers the required documentation for collective investments in privately held companies that are providing private offerings.
Based on the Investment Advisers Act of 1940, some businesses are required to register with the Securities Exchange Commission as a Private Fund Advisor; however, CKG Management is exempt from this requirement under the "small advisor exemption" rule of Section 203A(a)(1)(A) of the Investment Advisers Act. CKG Management has filed as an Exempt Reporting Advisor with FINRA (SEC file number 802-117813) with an assigned CRD number (306212).
CKG Management does also file a form D to utilize the unregistered securities exemption under SEC Rule 506(b) of Regulation D, which limits any access to private offerings to accredited investors. Therefore, we will only work with accredited investors to participate in private offerings administered by CKG Management.
CKG Management does not sell or trade securities and does not hold any series license issued under the FINRA.
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