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Current Employers
Prosperity Planning And Advisory, Llc

21255 Burbank Boulevard Suite 120, Los Angeles, CA 91367 • United States

Current Registrations

AuthorityCategoryStatusDate
CA RA APPROVED 2025-06-27
  • CA RA
    APPROVED
    Since 2025-06-27

Branch Locations

Lancaster, CA • United States

Disclosures

2 disclosure categories reported Yes on this SEC record. Read each Yes below, then review the firm’s Form ADV Item 11 guide for how disclosure questions work.

  • Regulatory action No
  • Criminal Yes
  • Bankruptcy No
  • Civil judicial No
  • Bond No
  • Judgment / lien Yes
  • Investigation No
  • Customer complaint No
  • Termination No
Employment History
OrganizationCityStateFromTo
Self-Marcus Mann Lancaster CA 03/2009 Present
Self-Marcus Mann Lancaster CA 05/2018 04/2025
Prosperity Planning And Advisory, Llc Lancaster CA 04/2025 Present
Self-Marcus Mann Lancaster CA 02/2016 02/2023
Self - Marcus Mann Lancaster CA 09/2025 Present
  • 03/2009 → Present
    Self-Marcus Mann
    Lancaster, CA
  • 05/2018 → 04/2025
    Self-Marcus Mann
    Lancaster, CA
  • 04/2025 → Present
    Lancaster, CA
  • 02/2016 → 02/2023
    Self-Marcus Mann
    Lancaster, CA
  • 09/2025 → Present
    Self - Marcus Mann
    Lancaster, CA
Other Businesses

Business Name: Prosperity Planning and Advisory, LLC Is this activity investment-related?: Yes Title/Relationship: Non-Managing Member / Chief Compliance Officer / Financial Advisor / Investment Adviser Representative Start Date: 01/01/2025 (or actual LLC formation date) Approximate number of hours per month devoted to the activity: 130 Number of hours devoted to the activity during securities trading hours: 100 Brief Description: Mr. Mann is a non-managing member with a 90% ownership interest in Prosperity Planning and Advisory, LLC, a California state-registered investment adviser. He serves as the firm's Chief Compliance Officer and investment adviser representative and provides investment advisory and financial consulting services to clients. While he holds a majority ownership interest, he does not serve as a managing member and has no governance authority; all management responsibilities are assigned to the firm's designated Manager, Sheika Holland. Mr. Mann devotes approximately 130 hours per month to this role, with roughly 100 of those hours occurring during standard securities trading hours (6:30 AM - 1:00 PM Pacific Time). Business Name: Personal Investment/Trading Accounts (Self-directed) Is this activity investment-related?: Yes Title/Relationship: Self-Directed Investor / Day Trader Start Date: 03/01/2009 Approximate number of hours per month devoted to the activity: 25 Number of hours devoted to the activity during securities trading hours: 25 Brief Description: Mr. Mann actively manages his own personal investment accounts, engaging in short-term trading of stocks and futures. This activity is conducted independently for his own financial purposes and does not involve managing money for others, offering trading advice, or receiving outside compensation. He spends approximately 25 hours per month on this activity, typically during securities trading hours. The firm has policies in place to ensure this personal trading does not conflict with client interests or interfere with Mr. Mann's responsibilities as Chief Compliance Officer and investment adviser representative of Prosperity Planning and Advisory, LLC. Business Name: Self - Marcus Mann Is this activity investment-related?: Yes Title/Relationship: Insurance Agent (Self-Employed) Start Date: 09/22/2025 Approximate number of hours per month devoted to the activity: 5-8 Number of hours devoted to the activity during securities trading hours: 0 Brief Description: Mr. Mann is licensed in California as an insurance agent to sell life insurance and fixed annuity products. He devotes approximately 5-8 hours per month to this activity, all outside of securities trading hours. Compensation is commission-based. This activity is conducted independently of Prosperity Planning and Advisory, LLC. Clients are under no obligation to purchase insurance products, and all potential conflicts of interest are fully disclosed.

Exams
CodeExamDate
S63 Uniform Securities Agent State Law Examination 2025-02-15
S65 Uniform Investment Adviser Law Examination 2024-12-28
  • S63 Uniform Securities Agent State Law Examination
    2025-02-15
  • S65 Uniform Investment Adviser Law Examination
    2024-12-28

View on SEC IAPD

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