At Guyasuta Investment Advisors, Inc. our relationships with our clients are built on trust and integrity. In the process of building these relationships, we acquire information about all of our clients in order to achieve their financial goals. We work hard to maintain the privacy of that information and to guard our clients’ personal information with the utmost care. Below is our policy relating to the protection of that information:
We collect nonpublic personal information about our clients from the following sources:
“Nonpublic personal information” is nonpublic information about a client that we obtain in connection with providing a financial service.
We do not disclose any nonpublic personal information about our clients or former clients to anyone, except as required by law (i.e. a subpoena).
We restrict access to nonpublic personal information about our clients to those employees who need to know that information to provide our services. We maintain physical, electronic, and procedural safeguards that comply with federal standards to guard our clients’ nonpublic personal information.
Our policy is available for review on our website www.Guyasuta.com or by calling and asking for our Chief Compliance Officer, Mr. Ronald L. Bartosh, Jr., at 412-447-4540. This policy will be sent with our reports as a reminder to each of our clients and provided at the onset of our relationship to each of our new clients.