Investor Allegations Involving Bart Harrison and Legacy 1031

Bart Harrison, the founder of Legacy 1031, is the subject of multiple FINRA complaints according to his public BrokerCheck report. The report was last accessed on March 4, 2026. This article is based on the customer allegations described in that report. A live version of Mr. Harrison’s BrokerCheck report can be accessed here. If […]
The Rise and Fall of Brian Nelson’s Versity Investments: Are You Stuck in a DST?

Serious legal issues are now surrounding Versity, its 1031 offerings, and principal Brian Nelson. A pending New York Supreme Court lawsuit involving Hayworth Tanglewood DST, Vintage DST, The Walk DST, and One on 4th DST, combined with public FINRA arbitration disclosures, has raised significant concerns for investors. Investors with questions about potential losses, misrepresentations, or […]
Recovery Options for Clients of Bryson Blackwell and Waypoint 1031 Investments

The founder of Waypoint 1031 Investments, Bryson Blackwell, is the subject of a new FINRA arbitration matter concerning the same of real estate investments. This is according to records received from the Financial Industry Regulatory Authority, or FINRA, as of February 1, 2026. The records are based on a customer complaint as reported by Mr. […]
Real Estate Transitions Solutions Founder Roger Bowlin Faces Complaints at FINRA

According to records accessed from FINRA on February 11, 2026, Real Estate Transitions Solutions founder, Roger Bowlin (CRD # 1905652) faces multiple investor complaints over real estate transactions with investors. The events were disclosed on Mr. Bowlin’s public securities license, which is updated through the Financial Industry Regulatory Authority. If you or someone you know […]
Sam Bhushan Involved in Multiple Investor Lawsuits over Failed Deals

Sam Bhushan has been named in a recently filed FINRA arbitration involving the sale of real estate–related investment products. According to publicly available regulatory information as of February 1, 2026, the matter arises from a customer complaint reported to the Financial Industry Regulatory Authority (FINRA) by his broker-dealer. If you lost money in a Regulation […]
1031 Exchange Disputes Involving Gregory Hill Settle for Over $350,000

Gregory Hill (CRD #: 850818), a broker formerly registered with Emerson Equity, is involved in two settled customer disputes, according to his BrokerCheck record, accessed on January 10, 2022. Two Six-Figure Customer Settlements Over Failed 1031 Investments On January 28, 2021, an investor alleged that Gregory Hill engaged in negligent misrepresentation and negligent supervision. […]