Stephen Hyde, CLU, ChFC, CFP, has extensive experience in financial services, currently serving as CEO and Chief Compliance Officer at HFM Investment Advisors since July 1984. This independent financial planning firm focuses on providing comprehensive, fee-based services and investor education grounded in Nobel Prize-winning research, with locations in Newark, DE, and Sarasota, FL. Additionally, Stephen has been President and Life Insurance Agent at MassMutual Financial Group since 1971, where strategic partnerships with clients are emphasized to deliver tailored life insurance solutions. Stephen also served as a Registered Representative at MML Investor Services from 1984 to 2014. An alumnus of American University, Stephen earned a Bachelor of Science in Political Science and Government.
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