Adviser Record

Rbc Capital Markets, LLC

Registered investment adviser · New York, NY · CRD #31194

Form ADV data as of 2026-09-01
Regulatory assets
$310.43 billion
Total accounts
511,871
Employees
8,781
Disclosure events
163

Firm details

Disciplinary disclosures

This firm reports 8 disclosure questions answered Yes, covering 163 reported events. Form ADV Item 11 covers charges and pending proceedings as well as findings, so a Yes answer is not itself a finding of wrongdoing. The underlying detail is filed with the SEC.

Assets and accounts

Provides continuous and regular supervisory or management servicesYes
Discretionary regulatory assets under management$235.35 billion
Non-discretionary regulatory assets under management$75.08 billion
Total regulatory assets under management$310.43 billion
Discretionary accounts417,652
Non-discretionary accounts94,219
Total accounts511,871
Regulatory assets under management attributable to non-U.S. persons$1.57 billion

People

Total employees (excluding clerical)8,781
Employees performing investment advisory functions (including research)5,908
Employees who are registered representatives of a broker-dealer6,457
Employees registered as investment adviser representatives with a state3,750
Employees registered as IARs for another investment adviser0
Employees who are licensed insurance agents2,595
Firms or persons who solicit advisory clients on the firm's behalf39

Custody

Has custody of client cash or bank accountsYes
Has custody of client securitiesYes
Client funds and securities held in the firm's custody$308.85 billion
Clients for whom the firm has custody282,307
A related person has custody of client cash or bank accountsYes
A related person has custody of client securitiesYes
Client funds and securities held in a related person's custody$22.2 million
Clients for whom a related person has custody1
The firm acts as a qualified custodianYes
A related person acts as a qualified custodianYes
Number of persons acting as qualified custodians for the firm's clients36

How the firm is compensated

A percentage of assets under managementFixed fees (other than subscription fees)

Advisory services offered

Financial planning servicesPortfolio management for individuals and/or small businessesPortfolio management for pooled investment vehiclesPortfolio management for businesses or institutional clientsPension consulting servicesSelection of other advisers (including private fund managers)Educational seminars/workshopsOther

Other business activities

Broker-dealer (registered or unregistered)Futures commission merchantInsurance broker or agentRegistered municipal advisorRegistered security-based swap dealer

Affiliated related persons

Broker-dealer, municipal securities dealer, or government securities broker or dealerOther investment adviser (including financial planners)Registered security-based swap dealerCommodity pool operator or commodity trading advisorFutures commission merchantBanking or thrift institutionTrust companyInsurance company or agencyPension consultantSponsor or syndicator of limited partnershipsSponsor, general partner, or managing member of pooled investment vehicles

Reported conflicts of interest

Form ADV Items 8 asks advisers to disclose arrangements that may create a conflict with client interests. This firm answered Yes to:

Client types

Type of clientClientsAssets
Individuals (other than high net worth individuals)263,588$182.25 billion
High net worth individuals12,350$98.50 billion
Banking or thrift institutions7$55.6 million
Pooled investment vehicles (other than investment companies and BDCs)17$651.5 million
Pension and profit sharing plans (not the participants or government plans)2,335$2.67 billion
Charitable organizations2,222$10.80 billion
State or municipal government entities (including government pension plans)215$1.24 billion
Insurance companies105$445.3 million
Corporations or other businesses not listed above3,071$13.82 billion