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Hanover Advisors, INC

Hanover Advisors, INC. CRD 119655

H

CRD: 119655

Hanover Advisors, INC

Seneca, SC, 29672
8642356760
$354.9M Total AUM
$352.6M Disc. AUM
3.3% 3Y CAGR
3 Employees
245 ADV. Clients
22 yrs Firm Age

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Firm Details

Custodian
Pershing
Clients
Retail and Institutional
Platforms
--
Established Date
06-07-2004
Office Locations
3

Office Locations

101 Rockwood Drive Seneca SC
-- Marieta GA
-- Marietta GA

About Hanover Advisors, INC

Hanover Advisors, INC is a Seneca-based RIA with 3 offices. The firm has been operating for 22 years. Managing $354.9M in total assets under management, with 2 advisory representatives. They custody assets with Pershing. Services offered include Asset Management, Financial Planning, Insurance.

Team overview

-- AVG AGE
$177.4M AVG AUM / ADVISOR
$1.4M AVG AUM / CLIENT
6.9 yrs AVG TENURE
3 Employees
2 Advisory Reps
1 RIA Reps
22yrs Firm Age

Insights

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Asset Classes

Glacier peak Pioneer

Client Personas

Harbor

Investment Themes

Wave frontier Alpha alpha Ridge ridge

Investment Vehicles

Matrix quantum

Services

Alpha Signal Delta Glacier wave Matrix timber Catalyst crest

Owner & Executives

S

STEPHEN FRANCIS MOLYNEAUX

Chief Compliance Officer, Chief Executive Officer, Chief Financial Officer, Chief Investment Officer, Chief Operating Officer, President

CRD
#1523114
Ownership
75% or more
(732) 222-8091
vertex.quantum@optimacapital.com
in linkedin.com/in/element-delta

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Contacts

L

LARRY CHARLES BURNETTE

Financial Consultant

CRD
#1391850
(608) 459-7306
glacier.glacier@ridgecapital.com
in linkedin.com/in/bridge-beacon
F

FRANK MARVIN JOHNSON

Financial Consultant

CRD
#1513031
(460) 775-6193
vertex.horizon@glaciercapital.com
in linkedin.com/in/signal-capital

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Assets Under Management

Total AUM
Discretionary
Non-Discretionary
09-15-2022
12-20-2023
04-03-2024
04-03-2025
05-05-2026
Category Assets AVG. Account size
Discretionary $352,609,919 $555,291
Non-Discretionary $2,255,653 $140,978
Total $354,865,572 $545,108

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Separately Managed Accounts

Total SMA Asset: $354,865,572

$354.9M Total SMA
Public Funds:
9.7%
Equity - Exchange:
18.8%
Cash:
30.9%
Municipal Bonds:
25.2%
U.S. Government/Agency:
15.4%
Asset class Assets Assets %
Public Funds $634,678,986 9.7%
Equity - Exchange $1,230,099,478 18.8%
Cash $2,021,812,440 30.9%
Municipal Bonds $1,648,856,747 25.2%
U.S. Government/Agency $1,007,634,679 15.4%
Total $6,543,082,330 100.0%

13F Holdings | Q1 2026

Issuer Class Cusip Ticker % Value
VERTEX ZENITH RADIAL ALPHA J1Y6EBJ6Y HDYRO 2.72% $76,391,745
RIDGE SIGNAL FUSION VITAL VALUE 8ES7A9TH6 QZBAU 2.95% $16,199,481
QUANTUM CREST GLACIER ALPHA OPTIMA 6EBIK76JK OSF 2.54% $30,048,652
WAVE INSIGHT FOCUS BRIDGE PP0HX8OQE WDWVI 6.70% $109,384,275
ATLAS DELTA OPTIMA PEAK 5IFP8QS9R VIV 7.05% $50,293,301
DELTA ZENITH VALUE FUSION EMBER M091WBX28 OWT 7.10% $46,254,367
DELTA PIONEER MERIDIAN MATRIX 6HJHNJ48C PMD 0.65% $104,873,924
HORIZON FUSION BEACON FUSION DELTA T74D8TS48 CRJ 1.81% $103,639,424

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