Jenna Hill Allegedly Misrepresented Insurance Policy Conversion Charges

Jenna Hill (CRD #: 7129161), a broker registered with Equitable Advisors, allegedly misrepresented certain charges to an investor, according to her BrokerCheck record, accessed on January 19, 2023. Keep reading if you want to know more about her alleged conduct as a broker.
Investor Dispute
On December 1, 2022, an investor alleged that Jenna Hill misrepresented charges related to converting a term life insurance policy into a variable policy in 2021. This dispute is currently pending.
Variable insurance products are complex investments and are not always suitable.
FINRA Rule 2020
FINRA Rule 2020 forbids the use of deception, manipulation, and other unethical means of influencing the purchase and sale of securities. This includes the misrepresentation or omission of information, such as an investment’s requirements, limitations, or other features.
Background Information
Jenna Hill has passed the following exams:
- Series 65 – Uniform Investment Adviser Law Examination
- Series 63 – Uniform Securities Agent State Law Examination
- Series 7TO – General Securities Representative Examination
- Series 6TO – Investment Company Products/Variable Contracts Representative Examination
- SIE – Securities Industry Essentials Examination
Jenna Hill is a registered broker in Arkansas, California, Florida, Massachusetts, and Texas. She is also a registered investment adviser in Florida and Texas.
Kurta Law Can Help
If you worked with Jenna Hill and you have concerns about your investments, please contact us today at 877-600-0098 or info@kurtalawfirm.com for a free consultation.
For over 20 years, Kurta Law has advocated on behalf of investors who want to recover their investment losses from brokers and brokerage firms. Kurta Law is a nationally recognized law firm and exclusively represents investors against brokers and brokerage firms on a contingency basis. This means that the firm only earns a fee if our securities attorneys recover money on your behalf.