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Category: D.H. Hill Securities

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Financial Advisor Peter Bakalis (D.H. Hill Securities, LLLP) Customer Complaints

Peter Bakalis (CRD#: 4587325) is a dually registered Broker and Investment Advisor at D.H. Hill Securities, LLLP in Trenton, MI. Broker’s Background He entered the securities industry in 2002 and previously worked for SPC; Sigma Financial Corporation; Brokers International Financial Services, LLC; Royal Alliance Associates, Inc.; and Raymond James Financial Services, Inc. Current And Past […]

Financial Advisor Lynn Mathre (D.H. Hill Securities, LLLP) Customer Complaints

Lynn Mathre (CRD#: 1269073), also known as Becky Lynn Mathre, is a previously registered Broker and previously registered Investment Advisor. Broker’s Background She entered the securities industry in 1984 and previously worked for D.H. Hill Securities, LLLP; Multi-Financial Securities Corporation; Legacy Financial Services, Inc.; Royal Alliance Associates, Inc.; Integrated Resources Equity Corporation; Pennington/Bass Equities, Inc.; […]

Financial Advisor Charles Stephens (D.H. Hill Securities, LLLP) Customer Complaints

The Wolper Law Firm, P.A. is currently investigating claims against Charles Stephens, a Financial Advisor at D.H. Hill Securities in St. Augustine, FL.  Charles Stephens first entered the securities industry in the 1980s and previously worked for NY Life Securities. According to publicly available records released by the Financial Industry Regulatory Authority (FINRA), Charles Stephens […]