Investor Alert: Robert Henry Forsyth was fined $2,500 and suspended from FINRA for 15 days
/Furgison Law Group is considering potential claims against DAVENPORT & COMPANY LLC, related to alleged misconduct by Robert Henry Forsyth.
Read MoreFurgison Law Group is considering potential claims against DAVENPORT & COMPANY LLC, related to alleged misconduct by Robert Henry Forsyth.
Read MoreFurgison Law Group is considering potential claims against DAVENPORT & COMPANY LLC, related to alleged misconduct by John Darrick Atchison.
Read MoreFurgison Law Group is considering potential claims against WORDEN CAPITAL MANAGEMENT LLC, SW FINANCIAL, related to alleged misconduct by Yousuf Saljooki.
Read MoreFurgison Law Group is considering potential claims against SANTANDER SECURITIES LLC, BB&T INVESTMENT SERVICES, INC., and CETERA INVESTMENT SERVICES LLC, related to alleged misconduct by Cheryl C. Blakey.
Read MoreFurgison Law Group is considering potential claims against INTERNATIONAL ASSETS ADVISORY, LLC, LPL FINANCIAL LLC, or MORGAN STANLEY, related to alleged misconduct by Michael Patrick Spolar.
Read MoreFurgison Law Group is considering potential claims against COMMONWEALTH FINANCIAL NETWORK and KESTRA INVESTMENT SERVICES, LLC, related to alleged misconduct by Michael Thomas Lee.
Read MoreFurgison Law Group is considering potential claims against GOLDMAN SACHS & CO. LLC related to alleged misconduct by Aaron C. Williams.
Read MoreFurgison Law Group is considering potential claims against CONCORDE INVESTMENT SERVICES, LLC, PARKLAND SECURITIES, LLC, or SIGMA FINANCIAL CORPORATION, related to alleged misconduct by Stephen Michael Whiting.
Read MoreFurgison Law Group is considering potential claims against NBC SECURITIES, INC, or JHS CAPITAL ADVISORS, LLC, related to alleged misconduct by Brian Gregory DiJulio.
Read MoreFurgison Law Group is considering potential claims against WELLS FARGO CLEARING SERVICES, LLC related to alleged misconduct by Michael David Garris.
Read MoreThe Furgison Law Group represents retail and institutional investors around the world in securities arbitration and litigation. The firm represents clients before the Financial Industry Regulatory Authority (FINRA) [formerly the National Association of Securities Dealers (NASD)], the American Arbitration Association (AAA) and in numerous state and federal courts to resolve financial disputes between customers, financial advisers, banks, brokerage firms and other financial institutions.
Our firm has represented litigants in state and federal courts in California and across the country in a variety of business and professional liability disputes, including complex litigation and cases involving sophisticated theories of fraud, misrepresentations and omissions, professional negligence and breach of fiduciary duty.
Our headquarters are in Southern California, but we have a network of associate attorneys that allow us to serve clients from across the country and around the world.
We have recovered millions of dollars in investment losses for our clients and we look forward to helping you.
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