Disclosures

Mountain Capital Investment Advisors, Inc. is a registered investment advisor with the Securities and Exchange Commission (SEC). As a registered advisor, we are required to provide certain disclosures to our clients and prospective clients. Below you will find links to our regulatory documents.

ADV - Part 2A

Form ADV Part 2A provides information about our investment advisory services, fees, and business practices.

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ADV - Part 2B

Form ADV Part 2B provides information about the educational background and business experience of our advisory personnel.

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ADV - Part 3 - Form CRS

The Client Relationship Summary (Form CRS) provides key information about the nature of our advisory relationship.

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MCIA Privacy Policy

Our Privacy Policy describes how we collect, use, and protect your personal information.

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Additional Information

As an SEC Registered Investment Advisor, Mountain Capital Investment Advisors, Inc. acts as a fiduciary to our clients. This means we are legally and ethically obligated to put your interests ahead of our own.

For more information about our firm, services, or to verify our registration status, please visit the SEC's Investment Adviser Public Disclosure website at adviserinfo.sec.gov.

If you have any questions about our disclosures or would like additional information, please contact us or call us at 720-500-0050.