Personal Banking, Home Loans & Business Banking and Loans

Douglas Brown

Investment Services Financial Advisor

2 South King Street
Suite 104
Honolulu, HI 96813

Office: 808-441-2000 Email

About Me

Doug shares with his clients the experiences and expertise acquired in a career spanning two decades. In a world where investment advice is often market-driven, Doug prefers to coach and mentor his clients and focus on the major events in their lives:

“I listen to my clients to fully understand what they desire to do with their resources of time and money. It is tremendously rewarding to present a solution tailored especially for the client that reflects the best choices they can make from the variety of investment alternatives available today. I believe in forging lasting relationships grounded in mutual trust with opportunities to share successful outcomes.”

Doug earned a Bachelor of Science in Business degree from the University of Minnesota and a Master of Arts Degree in East European Studies from the University of Kansas. Following a career in the United States Army, he was a consistent producer with a financial services firm in Hawaii. He is a CERTIFIED FINANCIAL PLANNER ™ professional who continuously strives to acquire knowledge that will benefit his clients. He currently holds FINRA series 7, 63 and 65 registrations in addition to life/health/property & casualty insurance licenses in Hawaii and North Carolina.
Securities and insurance products are offered through Cetera Investment Services LLC (doing insurance business in CA as CFGIS Insurance Agency), member FINRA/SIPC. Advisory services are offered through Cetera Investment Advisers LLC. Neither firm is affiliated with the financial institution where investment services are offered. Investments are: *Not FDIC/NCUSIF insured *May lose value *Not financial institution guaranteed *Not a deposit *Not insured by any federal government agency. Registered Address: 601 Union Street, Suite 2000, Seattle, WA 98101 

Click to view Cetera Investment Services Privacy Policy and other Important Information

Investment Executives are registered to conduct securities business and licensed to conduct insurance business in limited states. Response to, or contact with, residents of other states will only be made upon compliance with applicable licensing and registration requirements. The information on this website is for U.S. residents only and does not constitute an offer to purchase brokerage services to persons outside of the United States. 

Check the background of our investment professionals on FINRA’s BrokerCheck.

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