Admitted
1963, Massachusetts; 1964, District of Columbia; 1970, U.S. Supreme Court
Law School
Harvard University, LL.B., 1961
Law School Graduation Year
1961
College
Princeton University, A.B., 1957; Cambridge University, B.A., 1959; Cambridge University, M.A., 2000
Memberships
American (Member: Antitrust Section NAFTA Task Force, 1993-1994; Co-Chairman, International Antitrust Law Committee, ABA International Section, 1999-2002) and International (Secretary, Antitrust and Trade Committee, 1990-1993) Bar Associations; American Arbitration Association (Member, Panel of Arbitrators)
Biographical
Co-Author: with Roland Brandel, The Law of Electronic Funds Transfer Systems, (1980, 1988, 1996 and 1999). Co-Editor with J.W. Rowley, International Mergers-The Antitrust Process, 1990, 1996 and 2000. Author: Compulsory Access to Network Joint Ventures Under the Sherman Act: Rules or Roulette? 1993, Utah L. Rev. 999. Trial Attorney, 1966-1971, Director of Policy Planning, 1971-1973, Deputy Assistant Attorney General for Regulation, International Trade and Appeals, 1973-1975, Assistant Attorney General, 1976-1977, Antitrust Division, U.S. Department of Justice. Professor of Law, 1975-1978 and Adjunct Professor of Law, 1978-1981, Cornell University. Advisor to Anti-Monopoly Committee of Ukraine, 1994-1995 and the Government of Mongolia, 2003. Adviser, ICN Merger Procedures Subgroup, 2002—. Member, Center for Public Resources Panel of Distinguished Neutrals. Chairman, Banking Law Committee, Federal Bar Association, 1974-1975. Chairman, Antitrust and Corporate Law Committee, Business Law Section, American Bar Association, 1976-1981. Fellow, American Bar Foundation.