Who We Are

Wealth management, built for you

Active Wealth Advisors is a boutique Registered Investment Advisor (RIA) specializing in actively managed portfolios and tailored strategies tailored to each client’s needs. We serve high-net-worth individuals, trusts, institutional clients and families who want investment solutions that go beyond the limitations of traditional wealth management.

ABOUT US

Your Comprehensive Advisor

Your Comprehensive Advisor

Your Comprehensive Advisor

We combine disciplined portfolio oversight with tailored strategies that adapt to changing markets, going beyond traditional wealth management to protect and grow your capital.

We combine disciplined portfolio oversight with tailored strategies that adapt to changing markets, going beyond traditional wealth management to protect and grow your capital.

We combine disciplined portfolio oversight with tailored strategies that adapt to changing markets, going beyond traditional wealth management to protect and grow your capital.

Custom Options Integration

Sophisticated strategies beyond basic options

Boutique Attention

High touch approach with focused service

Custom Options Integration

Sophisticated strategies beyond basic options

Boutique Attention

High touch approach with focused service

Custom Options Integration

Sophisticated strategies beyond basic options

Boutique Attention

High touch approach with focused service

Active Risk Management

Tactical hedging and defensive positioning

Results-First Philosophy

Earning trust through performance validation

Active Risk Management

Tactical hedging and defensive positioning

Results-First Philosophy

Earning trust through performance validation

Active Risk Management

Tactical hedging and defensive positioning

Results-First Philosophy

Earning trust through performance validation

Why Choose Us

Our philosophy blends active portfolio management, bespoke strategies, and disciplined risk management to help clients pursue growth while protecting capital.

Active Management

Tactical positioning to adapt with changing markets³

Tailored Approach

Portfolios engineered around your goals and risk tolerance³

Tailored Approach

Portfolios engineered around your goals and risk tolerance³

Value Generation

Evidence-based strategies designed to perform³

Value Generation

Evidence-based strategies designed to perform³

³ Investing in securities involves risk, including potential loss of principal. No investment strategy can guarantee a profit or protect against loss in periods of declining values. Please see Item 8 of our ADV 2A Brochure for additional information on the risks associated with our services.

³ Investing in securities involves risk, including potential loss of principal. No investment strategy can guarantee a profit or protect against loss in periods of declining values. Please see Item 8 of our ADV 2A Brochure for additional information on the risks associated with our services.

³ Investing in securities involves risk, including potential loss of principal. No investment strategy can guarantee a profit or protect against loss in periods of declining values. Please see Item 8 of our ADV 2A Brochure for additional information on the risks associated with our services.

BEHIND ACTIVE WEALTH ADVISORS

Meet Our Founder

Brandon founded Active Wealth Advisors after earning his BBA in Finance from Florida Atlantic University. He brings over a decade of experience managing client portfolios with a focus on equities, tactical allocation, and options-based strategies, having been cycle-tested through multiple market environments

Brandon Sack

Financial Advisor & Portfolio Manager

Brandon Sack

Financial Advisor
& Portfolio Manager

Brandon Sack

Financial Advisor
& Portfolio Manager

GET IN TOUCH

GET IN TOUCH

Ready for Smarter
Wealth Management?

Discover how Active Wealth Advisors combines disciplined portfolio oversight, tailored strategies, and active risk management to protect and grow your wealth.

GET IN TOUCH

Ready for Smarter
Wealth Management?

Discover how Active Wealth Advisors combines disciplined portfolio oversight, tailored strategies, and active risk management to protect and grow your wealth.

Disclosures

Securities and investment advisory products are not guaranteed and may lose value. These materials are for informational purposes only. It is not intended to provide any investment advice or provide the basis for any investment decisions. Please consult a qualified professional before making decisions about your financial situation. Options strategies such as covered calls, cash-secured puts, collars, and protective hedges involve risks of limited upside and potential losses, as premiums or protective costs may not fully offset declines, positions may be assigned or expire worthless, and changing market volatility, timing, or execution can materially affect results. Thus, a client must be willing to accept the enhanced volatility and principal risks associated with such strategies. 

As a Registered Investment Adviser, we are committed to transparency. Below are our most recent regulatory filings and brochures, available for your review:


Form ADV, Part 2A – Firm Brochure
Outlines our services, fees, investment strategies, and potential conflicts of interest.

Form ADV, Part 2B – Brochure Supplement
Provides background and qualifications for our investment adviser representatives.

Form CRS – Client Relationship Summary (Part 3)
A brief summary of the services we offer, fees, conflicts of interest, and standards of conduct.

SEC IAPD Link – Latest Filed ADV
View our latest filings on the SEC’s Investment Adviser Public Disclosure (IAPD) website

© 2025, Active Wealth Advisors LLC. All rights reserved.

577 Chestnut Ridge Road, Woodcliff Lake, NJ

Disclosures

Securities and investment advisory products are not guaranteed and may lose value. These materials are for informational purposes only. It is not intended to provide any investment advice or provide the basis for any investment decisions. Please consult a qualified professional before making decisions about your financial situation. Options strategies such as covered calls, cash-secured puts, collars, and protective hedges involve risks of limited upside and potential losses, as premiums or protective costs may not fully offset declines, positions may be assigned or expire worthless, and changing market volatility, timing, or execution can materially affect results. Thus, a client must be willing to accept the enhanced volatility and principal risks associated with such strategies. 

As a Registered Investment Adviser, we are committed to transparency. Below are our most recent regulatory filings and brochures, available for your review:


Form ADV, Part 2A – Firm Brochure
Outlines our services, fees, investment strategies, and potential conflicts of interest.

Form ADV, Part 2B – Brochure Supplement
Provides background and qualifications for our investment adviser representatives.

Form CRS – Client Relationship Summary (Part 3)
A brief summary of the services we offer, fees, conflicts of interest, and standards of conduct.

SEC IAPD Link – Latest Filed ADV
View our latest filings on the SEC’s Investment Adviser Public Disclosure (IAPD) website

© 2025, Active Wealth Advisors LLC. All rights reserved.

577 Chestnut Ridge Road, Woodcliff Lake, NJ

Disclosures

Securities and investment advisory products are not guaranteed and may lose value. These materials are for informational purposes only. It is not intended to provide any investment advice or provide the basis for any investment decisions. Please consult a qualified professional before making decisions about your financial situation. Options strategies such as covered calls, cash-secured puts, collars, and protective hedges involve risks of limited upside and potential losses, as premiums or protective costs may not fully offset declines, positions may be assigned or expire worthless, and changing market volatility, timing, or execution can materially affect results. Thus, a client must be willing to accept the enhanced volatility and principal risks associated with such strategies. 

As a Registered Investment Adviser, we are committed to transparency. Below are our most recent regulatory filings and brochures, available for your review:


Form ADV, Part 2A – Firm Brochure
Outlines our services, fees, investment strategies, and potential conflicts of interest.

Form ADV, Part 2B – Brochure Supplement
Provides background and qualifications for our investment adviser representatives.

Form CRS – Client Relationship Summary (Part 3)
A brief summary of the services we offer, fees, conflicts of interest, and standards of conduct.

SEC IAPD Link – Latest Filed ADV
View our latest filings on the SEC’s Investment Adviser Public Disclosure (IAPD) website

© 2025, Active Wealth Advisors LLC. All rights reserved.

577 Chestnut Ridge Road, Woodcliff Lake, NJ