Cori Kaplan Esq

Kaminski joined Fidelity Trust Company in 1978, and served as Vice President and Senior Cashier from 1987 to 1997. The firm concentrated on serving institutional and fiduciary trust needs for the United States. Since 1997, Kaminski and David Hackett, CEO of Fidelity National, have provided consulting services to its retail trust family offices. In 2002, Kaminski was elected to the board of trustees of the Fidelity Personal Trust Company, a subsidiary of Fidelity Trust Company National.

Kaminski received his BA from Smith College in 1981, and a JD from the Northwestern University School of Law in 1991.

Mr. Kaplan specializes in aiding and abetting breaches of fiduciary duties involving large institutions. While working at Fidelity Corporation, Kaminski initiated internal audits for the last five presidents of Fidelity Bank and Fidelity Brokerage and Brokerage House, and oversaw direct audit of the bank run by Charles R. Rice, Jr.

Kaminski received his MBA from the Wharton School of Business in Philadelphia, Pa. in May 1982, followed by his law doctorate from Harvard Law School in 1987. He practiced law at the law firm of Duane Morris in New York City before transferring to Fidelity Trust Company in 1997. Mr. Kaplan currently serves as Chairman of the Board of Trustees of Fidelity Trust Company.

Mr. Kaplan served a two term on the Board of Directors, Inc. He joined the Fidelity Group as President and Corporate Secretary from May 1997 to August 1998, and became the Chief Financial Officer in October of that year. In that capacity, he led the development of the Fidelity Group’s Financial Intelligence Community.

Mr. Kaplan also worked on the senior leadership team of National Trust Company, the largest multi-institutional trust company with $84.4 billion in assets and $25.6 trillion in assets under management in the United States.

Mr. Kaplan served as Nominating and Selection Committee Chair of the Trades and the Investment Advisory Council of the Securities Exchange Commission. He is a former member of the Chicago Stock Exchange’s Special Committee on Reverse Volume Regulation and Chairman of the International Advisory Council for a Global Securities Dissemination Program.

His professional and family connections led him to join Fidelity as a senior credit analyst in 1982.