Dominion Investor Services, Inc. is a Broker/Dealer established in 1991, and owned by Dominion Financial Services, Inc. Dominion is a member of FINRA (Financial Industry Regulatory Authority), MSRB (Municipal Securities Rulemaking Board), and SIPC (Securities Investor Protection Corporation).
Dominion has Independent Registered Representatives located across the Central United States. In addition to their securities license, many are also insurance licensed and are able to sell various insurance products such as Variable Annuities and Variable Life products.
Dominion Portfolio Management, Inc. (DPM) is owned by Dominion Financial Services, Inc., and offers multiple, flexible options for fee-based Investment Advisory Services through properly qualified Investment Advisor Representatives.
- To be acknowledged as a premier provider of financial services due to our high standards of quality, service, professionalism and integrity. To accomplish this goal, we provide our clients with quality financial services and products matched to their personal needs and objectives.
- To be a nationwide provider of investment services committed to delivering the value-added tools and personalized service, which allows Independent Registered Representatives to build successful, highly rewarding practices and serve the best interests of their clients.
For further information about FINRA, please visit their website at www.finra.org.