Your Broker and Security Questions


Who is DriveWealth?

DriveWealth LLC is a FINRA and SEC regulated broker/dealer and custodian for MyWallSt Advisory LLC. They carry out all your trades and process your funds.


How secure is my investment account?

With protected customer accounts and encrypted personal data, DriveWealth prides itself on the security they provide to you. They are FINRA and SIPC members.

Please consult DriveWealth and/or MyWallSt Advisory if you have any questions.

The emails are:



What is FINRA?

FINRA is dedicated to investor protection and market integrity through effective and efficient regulation of the securities industry. FINRA is not part of the government. They are an independent, not-for-profit organization authorized by Congress to protect America’s investors by making sure the securities industry operates fairly and honestly.

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What is SIPC?

SIPC is a federally mandated, non-profit, United States corporation created under the Securities Investor Protection Act of 1970 that mandates membership of most US-registered broker-dealers. It protects securities customers of its members up to $500,000 (including $250,000 for claims for cash).

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What currency is my account in?

Your MyWallSt Advisory brokerage account is based in US dollars.

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