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Synergy Investment Group, LLC

Kannapolis, NCState-registered investment adviserCRD 46035

Filed as SYNERGY INVESTMENT GROUP, LLC

Synergy Investment Group, LLC is a state-registered investment advisory firm in Kannapolis, NC, registered since 2012, reporting $25 million to $100 million in regulatory assets under management in its Form ADV filing dated September 15, 2026.

14 years
registered since 2012
$53,339,610
assets under management
4 arrangements
Percentage of assets, Hourly and more
2
disclosure items (Item 11)

Quick answers

From the filing

How is Synergy Investment Group, LLC compensated?

On its Form ADV (Item 5.E, October 2026), Synergy Investment Group, LLC reports these compensation arrangements: a percentage of assets under its management; hourly charges; fixed fees (other than subscription fees); commissions. The amounts are in Item 5 of its Form ADV Part 2A brochure.

Where is Synergy Investment Group, LLC located?

Synergy Investment Group, LLC's principal office is in Kannapolis, NC, according to its Form ADV.

Is Synergy Investment Group, LLC registered with the SEC or a state?

Synergy Investment Group, LLC is a state-registered investment advisory firm, registered since 2012. Status as filed: APPROVED. CRD 46035.

How much does Synergy Investment Group, LLC manage?

Synergy Investment Group, LLC reports $53,339,610 in regulatory assets under management in its Form ADV filing dated September 15, 2026 (100% discretionary).

What types of clients does Synergy Investment Group, LLC serve?

By number of clients on Form ADV Item 5.D: individuals (other than high net worth individuals) (199); high net worth individuals (6).

Does Synergy Investment Group, LLC report any disciplinary disclosures?

Reports 2 disclosure items on Form ADV Item 11: yes answers to 11.E(2) (self-regulatory organization's finding of a rule violation) and 11.E(4) (self-regulatory organization's expulsion, suspension, bar, or restriction). Each question covers the firm and its advisory affiliates, and one event can produce several yes answers. The detail of any item is on the firm's public record on IAPD: https://adviserinfo.sec.gov/firm/summary/46035

From the Form ADV filing

Every figure below is as the firm filed it with regulators, as of October 2026.

How the firm is compensated

Item 5.E
  • A percentage of assets under your management
  • Hourly charges
  • Fixed fees (other than subscription fees)
  • Commissions

Item 5.E lists how the firm is compensated for its advice; Items 5.B, 6.A, and 7.A show whether its people or related companies can also earn commissions. Percentage of assets, fixed, hourly, subscription, and performance-based fees come from clients (a performance-based fee depends on investment results); commissions come with a sale or a trade, often from the company behind the product. How fees, commissions, and other arrangements differ

Regulatory assets under management

Item 5.F
$53,339,610

$53,339,610 as of October 2026, filing dated September 15, 2026.

Discretionary: $53,339,610.Non-discretionary: $0.

A measure of scale, not skill or returns. Discretionary means the firm decides trades; non-discretionary means clients approve each one. What assets under management means

Who the firm serves

Item 5.D
Individuals (other than high net worth individuals)
Clients 199 Assets $44,092,042 (83%)
High net worth individuals
Clients 6 Assets $9,247,568 (17%)

A firm with no individual clients is an institutional manager even if it manages billions; the mix tells you whom the practice is built around.

Advisory services

Item 5.G
  • Financial planning services
  • Portfolio management for individuals and/or small businesses

Registration and firm details

Items 1, 2, 5
Registration
State-registered investment adviser. Status as filed: APPROVED.
Registered since
2012 (14 years)
Employees
Total: 5. Performing investment advisory functions: 3.
Wrap fee program participation
No.
States registered or notice-filed
2 states or jurisdictions
NCPA

State-registered investment advisers are examined by their state securities regulator. SEC, state, and exempt registration

Disclosures

Item 11

2 Reports 2 disclosure items on Form ADV Item 11. View on IAPD.

Questions answered yes on this filing

Regulatory matters Items 11.C to 11.G

  • 11.E(2) Has a self-regulatory organization or a commodities exchange ever found that the firm or an advisory affiliate was involved in a violation of its rules, other than a minor rule violation under a plan the SEC approved?
  • 11.E(4) Has a self-regulatory organization or a commodities exchange ever disciplined the firm or an advisory affiliate by expelling or suspending it from membership, barring or suspending it from association with other members, or otherwise restricting its activities?

Each question covers the firm and its advisory affiliates: its current employees other than clerical staff, its officers, partners, and directors, and anyone who controls the firm or is controlled by it. One event can produce yes answers to several questions. SEC-registered advisers and exempt reporting advisers may leave out events more than ten years old, and may answer 11.A(2) and 11.B(2) for pending charges only. What happened, and who was involved, is on the Disclosure Reporting Pages of the IAPD record. Reading a firm's disclosures

Changes in the filing

Last 12 months

No changes to these filed facts in the last 12 months of filing data.

Compared month to month from the SEC's monthly adviser data and the state compilation feed. Owners and control persons are summarized, never named.

Websites listed on Form ADV

Item 1.I
arribainvests.com

Source: Form ADV, as of October 2026. Values appear as filed; a value the firm did not report is shown as "Not reported."

Cite this page

AdvisorCensus. Synergy Investment Group, LLC (CRD 46035): Form ADV filing data as of October 2026.
https://advisorcensus.com/firm/synergy-investment-group-llc-kannapolis-nc-46035