Mark A. Rogers
Financial Advisor



1100 Bay Area Blvd.
Houston, TX 77058


(281) 998-6403


(281) 488-2397

About Mark Rogers

Mark A. Rogers

Mark Rogers is a financial advisor with a 16-year track record of helping individuals and business owners reach financial goals. Drawing on this experience as well as outstanding performance in business management with a NYSE-traded restaurant chain, Mark takes a multi-strategy, risk-managed approach to financial and retirement planning. He seeks to bring investments, insurance, education, retirement, estate, and tax planning into one efficient plan designed to minimize gaps that can leave you under-prepared and under-protected.

A creative problem solver, Mark will develop a financial plan and monitor performance and investor profile alignment over time—both focused on delivering consistent progress toward your goals. He seeks input from your trusted tax and other advisors to enhance the integrity of the plan. His goal is to ensure that your overall plan is appropriate for risk tolerance and growth objectives and efficient for diversification, protection, and tax purposes. Mark’s objective is to get you the most from your hard-earned money without undue risk.

Mark received a B.B.A. in Management from Southwest Texas State University. He holds FINRA Series 7 General Securities Representative, 63 Uniform Securities Agent State Law, and 66 NASAA Uniform Combined State Law Examination licenses. Throughout his career Mark has been involved in many church, school, and community activities.

“Earlier in my career I was recognized for being a consummate multi-tasker as concerned with my customers’ enjoyment as I was with the bottom line. Often I worked over 70 hours a week, which became a prime motivation for my desire to help clients get the most from the fruits of their own labor. In helping clients build, protect, and preserve wealth I draw on my deep and broad management experience that has made me attuned to how all the moving parts affect the outcome. I look forward to getting to know more about your individual circumstances and goals.”
– Mark A. Rogers

Investment Professionals, Inc.

Founded in 1992, Investment Professionals, Inc. (IPI) is a full-service broker/dealer providing a broad range of investment products and services to individual and business clients. Our over 20 year record of success is grounded in our ability to build the strong foundation of trust that drives mutually successful relationships. As a client, you will have access to IPI’s full team of experts, including financial and retirement planning, insurance and annuities, stocks, fixed income, estate planning and trust services.

All Securities and Investment Advisory Services offered through Investment Professionals, Inc. (IPI), a Broker/Dealer, member FINRA/SIPC & a Registered Investment Advisor.
The investment services offered by IPI under the name Moody Investments are not offered by Moody National Bank, nor is Moody National Bank a registered broker/dealer. Neither Moody National Bank

Check the background of this financial professional on FINRA's BrokerCheck
Check the background of this financial professional on FINRA's BrokerCheck