Jeffrey B. Kaplan is an AV-rated lawyer who focuses his law practice on securities arbitration and litigation and plaintiff-side class action litigation, representing individual and institutional investors in stockbroker misconduct and securities and investment fraud matters. He also represents securities industry professionals in U-4, U-5, and promissory note disputes. Mr. Kaplan has routinely been named a "Top Lawyer" by the South Florida Legal Guide. In 2012, FINRA nominated Mr. Kaplan to served on the National Arbitration and Mediation Committee, which is an advisory committee that makes recommendations and drafts rules, regulations, and procedures governing FINRA arbitration.
He has extensive experience handling NASD, FINRA, NYSE, and AAA securities arbitration matters and has recovered millions of dollars on behalf of defrauded investors. Mr. Kaplan has authored a number of articles on stockbroker misconduct, and he is a recognized authority on the subject. He often serves as a guest lecturer on securities fraud and stockbroker misconduct, and has been invited to speak to investor groups, accountants, and other professionals throughout the country concerning investor protection.