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Churning, Discretionary Trading, Excessive Markups/Markdowns, Failure to Supervise, Misrepresentation, Stockbroker Discharged, Stockbroker Malpractice, Unauthorized Trading, Unsuitable Investments, Vanderbilt Securities

Mark Kaplan-Former Vanderbilt Securities Broker-Barred From Industry for Churning Account of Senior

March 8, 2018 Rex Securities Law

MARCH 2018 UPDATE–Mark Kaplan was permanently barred from the securities industry by FINRA and , without admitting or denying them, agreed to entry of the following findings:

  • Kaplan exercised de facto control over the account of a 93 year old retired clothing salesman who was experiencing a decline in his mental health.
  • During the relevant time period Kaplan effected over 3,500 transactions in the elderly gentleman’s account resulting in trading losses of $723,000 and generating $735,000 in commissions and markups to Kaplan and his firm Vanderbilt Securities.
  • Kaplan never discussed the extent of the total losses or the amount of commissions paid with the elderly customer.

As of March 8, 2018, Kaplan’s FINRA record discloses a total of 7 customer disputes that have been settled. Kaplan voluntarily resigned from Vanderbilt Securities February 22, 2018, just a week or so before he was barred from the industry by FINRA.

APRIL 2017-UPDATE-In FINRA Case 16-0193 a customer of Vanderbilt Securities alleges damages of $1.1 million for unsuitable investments recommended by Mark Kaplan in master limited partnerships and real estate investment trusts (REITs). In June 2016 this matter was settled for $500,000.

ORIGINAL POST-March 27, 2016-Woodbury, NY

According to FINRA records, Mark Kaplan, a broker registered with Vanderbilt Securities since March 2011 has been named in two recent arbitration claims by customers seeking total damages of $1.5 million for the manner in which their accounts have been handled.

FINRA Case 16-00613– The customer alleges that Kaplan, while employed by Citigroup Global Markets,  engaged in unsuitable and excessive trading from February 2004 through March 2011 and is seeking damages of $700,000. UPDATE-this case was settled in 8/2016 for $240,000.

FINRA Case 15-01345– A guardian appointed for the customer alleges that Kaplan, while employed by Vanderbilt Securities made unauthorized and unsuitable trades in the account from April 2011 to April 2015 and seeks damages of $800,000. This matter was resolved in 4/2016 for $470,000.

Prior to joining Vanderbilt Securities, Kaplan was employed as follows: Morgan Stanley Smith Barney 6/2009-4/2011; Citigroup Global Markets 9/2005-6/2009.

Kaplan was discharged from Morgan Stanley Smith Barney in 3/2011. Morgan Stanley indicated on FINRA records that the discharge was “a result of a recent client complaint and other concerns regarding activity in client accounts. “

Kaplan has several other prior customer complaints that have already been settled on his FINRA record that allege churning or excessive trading of the account.

If you have suffered losses in an account handled by Mark Kaplan,  call for a no charge consultation to discuss your options.

Rex Securities Law , with offices in Boca Raton, FL,  and  Austin, TX,   provides representation to  investors  nationwide who are seeking recovery of investment losses due to the negligence or fraud of stockbrokers and broker dealers. If you have questions about how your account has been handled, call to speak with an experienced securities attorney.

Most cases handled on a contingent fee basis meaning that you do not pay legal fees unless we are successful.

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Rex Securities Law

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Previous PostJerry Raines -Former Signal Securities Broker-Customers Sue For $4M Losses on Woodbridge Funds-Kilgore,TXNext PostMark Kaplan Investigation Update-Arbitration Claim to be Filed vs. Former Vanderbilt Securities Broker

Dexter Leroy Thomas- Dallas, TX

We are currently pursuing cases on behalf of a number customers of former National Planning Corp./United Planners Financial Services broker Dexter Thomas of Dallas, TX Follow this link for more information

Bill Hightower Investigation –Hightower Capital Group-Houston, TX

Losses in an account handled by Bill Hightower, former UBS Financial/Legacy Asset Securities  broker? Follow this link for more information

James T. Flynn——- Voya Financial-Greenville, S. Carolina

Losses on REITs or other alternative investments? We are currently pursuing cases for a number of customers of former Voya Financial broker Jim Flynn.

Jerry Raines-Stonelion Insurance and Financial-Kilgore, TX

Losses on Woodbridge Fund Investments made with H.D. Vest brokers Jerry Raines or Donna Barnard?

NEXT Financial Group Investigation

We are investigating Houston based broker dealer NEXT Financial Group in connection with misappropriation of customer funds by NEXT Financial Group brokers.

Follow this link for more information 

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  • Texas Securities Inc.
  • Texas State Securities Board
  • TFS Securities
  • The Investment Center
  • The Leaders Group Inc.
  • The O.N. Equity Sales Company
  • The Tidal Group
  • Theft
  • Thrivent Investment Management
  • TIAA-CREF
  • TICs Tenant In Common Investments-1031 Exchanges
  • Tigress Financial Partners
  • Titan Securities
  • Titus Rockefeller
  • TKG Financial
  • TNP Securities
  • Tony Thompson
  • Tower Square Securities
  • Tradespot Markets (Beloyan Investment )
  • Tradewire Securities
  • Transam Securities
  • Transamerica Financial
  • Transcend Capital
  • Triad Advisors
  • Trident Partners
  • Trustmont Finanical Group
  • Tryco Securities
  • Tyratech Inc.
  • U.K. Financial Conduct Authority
  • U.S. Commodity Futures Trading Commission (CFTC)
  • UBS
  • UIT (Unit Investment Trust)
  • Ultralat Capital Markets Inc.
  • Unauthorized Access to Account
  • Unauthorized Trading
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  • UnionBanc Investment Services
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  • United Planners Financial Services
  • United Securities Alliance
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  • Utah Division of Securities
  • UVest Financial Services Group
  • Valic Financial Advisors
  • Vanderbilt Securities
  • Vandham Securities
  • Vanguard Capital
  • Vanguard Marketing Corporation
  • Variable Annuities
  • Variable Universal LIfe (VUL)
  • VCA Securities (formerly Bluffview)
  • Venecredit Securities
  • Veritrust Financial
  • Verity Investments
  • VFG Securities
  • vFinance Investments
  • Viatical Settlements
  • ViewTrade Securities
  • VIrginia SCC Division of Securities and Retail Franchising
  • Voya (formerly ING)
  • VSR Financial Services
  • Wachovia
  • Waddell & Reed
  • Wade j. Lawrence (Southwest Securities)
  • Wadsworth Investment Co.
  • Wall Street Brokerage
  • Wall Street Strategies
  • Wallachbeth Capital
  • Walnut Street Securities
  • Washington State Securities Regulators
  • Wavecrest Securities
  • Waveland Capital Partners
  • Wealth Solutions
  • Weaver Tidwell Capital
  • Wedbush Securities
  • Wells Fargo
  • Wells Notice
  • Wentworth Securities
  • Western Asset
  • Western International Securities
  • Westminster Financial Securities
  • Westpark Capital
  • Westport Resources Investment Services
  • WFG Investments
  • White Weld & Co. Securities
  • Wilbanks Securities
  • William Blair & Company
  • Williams Financial Group
  • Wilmington Capital Securities
  • Wilson-Davis & Co.
  • Windsor Street Capital (formerly Meyers Assoc.)
  • Wisconsin Division of Securities
  • Wm. H. Murphy and Co.
  • WMA Securities
  • Woodbury Financial Services
  • Woodstock Financial Group
  • Worden Capital Management
  • Workman Securities
  • World Choice Securities
  • World Equity Group Securities
  • Worth Financial Group
  • WRP Investments
  • WS Griffith Securities
  • WTS Proprietary Trading Group
  • Wunderlich Securities
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