Financial Life Focus, LLC (“Financial Life Focus”) is a Registered Investment Advisor (“RIA”), registered U.S. Securities and Exchange Commission. Financial Life Focus provides asset management and related services for clients nationally. Financial Life Focus will file and maintain all applicable licenses as required by the state securities boards and/or the Securities and Exchange Commission (“SEC”), as applicable. Financial Life Focus renders individualized responses to persons in a particular state only after complying with all regulatory requirements, or pursuant to an applicable state exemption or exclusion.

This web site is intended to provide general information about Financial Life Focus. It is not intended to offer investment advice. Information regarding investment products and services are provided solely to read about our investment philosophy, our strategies and to be able to contact us for further information.

Market data, articles and other content on this web site are based on generally available information and are believed to be reliable. Financial Life Focus does not guarantee the accuracy of the information contained in this web site. The information is of a general nature and should not be construed as investment advice.

Financial Life Focus will provide all prospective clients with a copy of our current Form ADV, Part 2 (“Disclosure Brochure”) prior to commencing an Advisory relationship. Existing clients will receive a copy on an annual basis. However, at any time, you can view our current Form ADV, Part 2 on our web site. In addition, you can Contact Us to request a hardcopy or if you have any questions regarding Compliance and Regulatory information.

Client Relationship Summary (Form CRS)