Ranked in 1 Practice Areas
3

Band 3

Securities: Regulation: Enforcement

USA - Nationwide

6 Years Ranked

About

Provided by Robert Kaplan

USA

Practice Areas

Robert Kaplan is a litigation partner and a member of the firm’s White Collar & Regulatory Defense Group based in the firm’s Washington, D.C. office. He has significant experience with a broad range of securities-related enforcement and compliance issues, including those involving requirements affecting SEC-registered investment advisers affiliated with hedge funds, private equity funds, investment companies, mutual funds and separately managed accounts. Mr. Kaplan routinely represents these clients in matters before the SEC, state attorneys general and FINRA.

Prior to joining Debevoise, Mr. Kaplan was founding Co-Chief of the Asset Management Unit of the U.S. Securities and Exchange Commission’s Division of Enforcement. In this role, he co-led a team of 75 lawyers and industry experts focused on investigations related to potential violations of securities laws by advisers to hedge funds, private equity funds, mutual funds and separately managed accounts. He partnered with senior leadership in other divisions of the SEC to establish law enforcement priorities in the asset management industry and developed cross-agency initiatives to proactively detect violations in emerging risk areas.

During his 17-year tenure at the SEC’s Division of Enforcement, Mr. Kaplan served as Assistant Director from 2004 to 2010, Assistant Chief Litigation Counsel in the Division’s Trial Unit from 1998 to 2004, and Staff Attorney and Senior Counsel from 1995 to 1998. He played a leading role in SEC enforcement actions across a variety of areas, including in actions related to investment advisers, financial fraud, auditors, the FCPA, broker-dealers and insider trading. Mr. Kaplan has won several prestigious awards for his service in the Division of Enforcement, including the Chairman’s Award for Excellence and the Arthur F. Mathews Award.

Prior to joining the SEC, Mr. Kaplan was a litigation associate in the New York office of a Philadelphia firm, where he worked on a variety of securities litigation and enforcement matters.

Chambers Review

Provided by Chambers

Chambers Guide to the USA

Securities: Regulation: Enforcement - USA - Nationwide

3
Band 3
Individual Editorial
Robert Kaplan draws on his wealth of previous SEC experience in advising asset management clients on the full suite of SEC regulatory issues, as well as offering extensive enforcement capabilities.

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