Donna Hines is a West Virginia based securities broker. She has worked in the securities industry for eighteen years. During her career, she has been registered with four different securities firms.

Her registrations include; Edward Jones (2000-2003), Sammons Securities Company (2003-2005), Investment Planners (2005-2013), and Cetera Advisors (2013-Present).

Donna Hines’ publicly available FINRA BrokerCheck report shows that she has received multiple customer complaints over the course of her career.

In December 2015, a customer alleged misrepresentation, omissions, negligence, and breach of fiduciary duty. This case was settled for $100,000 in damages.

In June 2018, customers alleged unsuitable investments, negligence, breach of fiduciary duty, misrepresentations, and constructive/common law fraud. The alleged transgressions taking place between 2005 and 2018. This case is currently pending. The customers are seeking $142,026 in damages.

Oakes & Fosher dedicates its entire legal practice to helping investors across the nation. If you, or someone you know, have lost money investing with Donna Hines, please contact Oakes & Fosher for a free and private consultation.