Trademarks / Class 36 / TRUSTPROTECT

TRUSTPROTECT

SN 78085257 REG 2826319Principal RegisterUSPTO TSDR ↗
Dead · Cancelled DEAD/REGISTRATION/Cancelled/Invalidated
Mark · Service Mark
TRUSTPROTECT

What this record means

The record shows that the mark “TRUSTPROTECT” was once registered on the Principal Register but has since been cancelled under Section 8 because the owner, Paul F. Wood, failed to file a declaration of continued use. The mark covered banking, investment, trust, and insurance services, specifically banking services; investment and trust company services; creation and management trusts; brokerage, administration and underwriting of annuities and all types of insurance; brokerage of securities and commodities; and financial consultation services in the field of investment advice and estate planning. A similar name would raise the closest concern in those financial and trust‑related services. The cancellation does not mean the wording is free for all uses; other rights could exist elsewhere. The last recorded event was the cancellation on October 29, 2010, and no enforcement actions appear in the supplied history. For someone considering a similar name, the record suggests a meaningful risk of confusion in the financial services sector.

Informational only - not legal advice.

Mark Service Mark

TRUSTPROTECT
Standard-character drawing · USPTO TSDR, retrieved Aug 28, 2026
Drawing type1 - TYPESET WORD(S) /LETTER(S) /NUMBER(S)
Filing basisUse in Commerce (§1(a)).
StatusRegistration cancelled because registrant did not file an acceptable declaration under Section 8. To view all documents in this file, click on the Trademark Document Retrieval link at the top of this page.

Key dates

Application filedSep 24, 2001
Published for oppositionOct 22, 2002
Notice of AllowanceJan 14, 2003
Registered (Principal)Mar 23, 2004
Status dateOct 29, 2010

Goods & services

Cl. 036Insurance & FinancialSECTION 8 - CANCELLED

Banking services; investment and trust company services; creation and management trusts; brokerage, administration and underwriting of annuities and all types of insurance; brokerage of securities and commodities; financial consultation services in the field of investment advice and estate planning

First use: Dec 17, 2003
Use in commerce: Dec 17, 2003

Owner & representation

OwnerWood, Paul F.
Address87 Stockton Ave., Walton, NEW YORK UNITED STATES 13856
EntityINDIVIDUAL
Attorney of recordBRIAN GIBBONS
CorrespondentBRIAN GIBBONS
Correspondent emailE********@*****.com
Correspondent phone6********5
Correspondent addressORLANDO, FLORIDA
Full details in the report

Prosecution history 3 of 19 events

Oct 29, 2010
CANCELLED SEC. 8 (6-YR)
Mar 23, 2004
REGISTERED-PRINCIPAL REGISTER
Jan 21, 2004
ALLOWED PRINCIPAL REGISTER - SOU ACCEPTED
🔒 Full timeline (19 events) in the report

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