Furgison Law Group filed a FINRA arbitration claim against National Planning Corporation on behalf of customers of George Melbrod, Jr.

Furgison Law Group filed a FINRA arbitration claim against National Planning Corporation on behalf of customers of George Melbrod, Jr.

The securities fraud lawyers at Furgison Law Group filed an arbitration claim against National Planning Corporation ("NPC") related to investments recommended by George Melbrod, Jr. (CRD#723108). The complaints against Mr. Melbrod and his firm, National Planning Corporation, related to the sale of Tenants-In-Common ("TIC") real estate investments, 1031 Exchange transactions and other real estate investments. 

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Furgison Law Group has filed a FINRA arbitration claim against National Planning Corporation on behalf of customers of Robert "Rusty" Tweed

Furgison Law Group has filed a FINRA arbitration claim against National Planning Corporation on behalf of customers of Robert "Rusty" Tweed

The securities fraud lawyers at Furgison Law Group have recently filed a claim against National Planning Corporation ("NPC") related to investments recommended by Robert Russel "Rusty" Tweed (CRD#2339324). Our firm is also currently investigating other claims against Mr. Tweed and his former firm, National Planning Corporation related to the sale of Tenants-In-Common ("TIC") real estate investments, 1031 Exchange transactions and other real estate investments.

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Furgison Law Group has filed a FINRA claim on behalf of former clients of Eric Schindler

Furgison Law Group has filed a FINRA claim on behalf of former clients of Eric Schindler

The securities fraud lawyers at Furgison Law Group have recently filed a claim against National Planning Corporation ("NPC") related to investments recommended by Eric J. Schindler (CRD#1439999). Our firm is also currently investigating other claims against Mr. Schindler and his former firm National Planning Corporation related to the sale of Tenants-In-Common ("TIC") real estate investments, 1031 Exchange transactions and other real estate investments. The customer complaints include allegations of breach of fiduciary duty, misrepresentations, omissions of material facts, conflict of interests, violations of state and federal securities laws, along with other broker misconduct. Mr. Schindler and NPC deny all allegations of wrongdoing.

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