David A. Hodges

David A. Hodges

| CFP®

Integra Wealth, LLC

(423) 827-3611

Contact Me

Fee-Only Financial Planning and Investment Advice services for the entire Chattanooga, TN area/region.

Specialties

  • Fee-Only Financial Services
  • Comprehensive Financial Planning
  • Free Initial Consultation
  • Investment Management
  • Retirement Planning
  • Education Planning
  • Elder Care Issues
  • Estate Planning
  • Insurance Analysis
  • Charitable Giving and Trusts
  • Planning for Business Owners
  • Cash Flow and Budgeting

Website

Visit Us

871 McCallie Avenue
ATTN: David A. Hodges
Chattanooga, TN 37403

Fee-Only & Fiduciary


The National Association of Personal Financial Advisors (NAPFA) is the country's leading association of fee-only and fiduciary financial planners.

David Hodges is a Chattanooga, TN Fee-Only Financial Planner serving Chattanooga and all surrounding areas. Integra Wealth, LLC specializes in providing objective financial planning to help clients build, manage, grow, and protect their assets through life's transitions. David Hodges is a NAPFA-Registered Financial Advisor and a CERTIFIED FINANCIAL PLANNER™ Professional.

David A. Hodges is a native of Chattanooga, Certified Financial Planner professional, and holds degrees in both Economics and Spanish from the University of Tennessee at Chattanooga.  He is fluent in Spanish and is a member of The National Association of Personal Financial Advisors, The Financial Planning Association, and The Society of Financial Service Professionals.

David is the founder of Integra Wealth, LLC, a local, independent, registered investment advisory firm that does not permit the receipt of compensation generated by commission sales or commission products for investment and financial planning services.

As a CFP® professional, I received the personal satisfaction of obtaining the certification so that I can help my clients fulfill their financial goals to the best of my abilities.

My CFP® mark distinguishes me among my peers in the financial services industry as it shows that I have voluntarily met rigorous requirements of education, examination and experience and abide by CFP Board’s Standards of Professional Conduct, which includes agreeing to a fiduciary standard of care that places my clients’ interests first.

CFP Board enforces the professional standards for CFP professionals like me, and misconduct leads to action by CFP Board that can include a letter of admonition, suspension or revocation of CFP certification.

Federal and State Fiduciary Standard law requires investment professionals of Integra Wealth, LLC to solely act in the best interest of its clients at all times.

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At Integra Wealth, we offer True Wealth Management Solutions – we can help you regardless of your current financial situation. We base our advice on your situation – whether you are a younger professional looking to protect your family and build wealth, a family looking to fund college for your growing children, a pre-retiree trying to make sure you are accumulating enough retirement income for your financial independence years, a post-retiree who wants to protect what you have and make sure that you don’t outlive your money, or somewhere in between – we can help.

We have a comprehensive financial management system that allows us to help you in all areas related to you financial situation: investment management, financial planning, college planning, integrated tax planning, real estate investment advice, alternative investments, assistance with estate planning and insurance solutions.

We are a local and independent company.  We take an objective and consultative approach to delivering comprehensive wealth management services to our clients.

Whatever your current situation is, we can customize solutions that will help you increase your probability of achieving financial success.  Contact us now (423)-827-3611 to schedule a SECOND OPINION MEETING from objective professionals.

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