Regulatory Information.
Court Investment Services is committed to regulatory transparency. Important disclosures and filings are provided below.
General Disclosures
Court Investment Services, a dba of SilverOak Investments, LLC (“CIS”), is a registered investment adviser with one or more states. Please see https://adviserinfo.sec.gov for information about which states CIS is registered in; however, such registration does not imply a certain level of skill or training. CIS may only transact business or render personalized investment advice in those states and international jurisdictions where we are registered/filed notice or otherwise excluded or exempted from registration requirements. Any communications with prospective clients residing in states or international jurisdictions where CIS is not registered or licensed shall be limited so as not to trigger registration or licensing requirements.
The information herein has been provided for information purposes only, and is not intended to serve as investment advice or as a recommendation for the purchase or sale of any security. The information herein is not specific to any individual’s personal circumstances. The strategies and/or investments referenced may not be suitable for all investors as the appropriateness of a particular investment or strategy will depend on an investor’s individual circumstances and objectives. Historically, equities have had greater volatility than fixed-income securities. While the information herein has been obtained from publicly available sources, which CIS believes to be reliable, CIS cannot and does not guarantee the accuracy, adequacy or completeness of any such information. The information herein may change from time to time without notice, and CIS has no obligation to update this material.
CIS does not provide tax or legal advice. To the extent that any material herein concerns tax or legal matters, such information is not intended to be solely relied upon nor used for the purpose of making tax and/or legal decisions without first seeking independent advice from a tax and/or legal professional. All investments involve risk, including loss of principal invested. Past performance does not guarantee future performance. Individual client accounts may vary. The strategies and/or investments referenced may not be suitable for all investors as the appropriateness of a particular investment or strategy will depend on an investor’s individual circumstances and objectives.
© 2026, CIS. All rights reserved. No part of this publication may be reprinted without the prior permission of the author.
Form ADV Filings
Our current Form ADV filings are available below in PDF format.
- Form ADV Part 2A — Firm Brochure (PDF, opens in new tab)
Describes the firm's advisory services, fee structure, business practices, and disciplinary history.
PDF · Dated March 31, 2026
- Form ADV Appendix 1 — Wrap Fee Program Brochure (PDF, opens in new tab)
Describes the wrap fee program, in which advisory, brokerage execution, custody, and reporting services are provided for a single all-inclusive fee.
PDF · Dated March 31, 2026
- Form ADV Part 2B — Brochure Supplement (Ryan J. Yuhnke) (PDF, opens in new tab)
Provides background on Ryan J. Yuhnke as the firm's Principal, Investment Adviser Representative, and Chief Compliance Officer.
PDF · Dated March 31, 2026
Research Our Firm And Advisers
Investors may research our firm and its representatives on FINRA’s BrokerCheck system or the SEC’s Investment Adviser Public Disclosure (IAPD) database, free of charge.
Questions about these disclosures should be directed to our office at (800) 880-2760 or hello@courtinvestmentservices.com.