Admitted
1975, Pennsylvania and U.S. District Court, Western District of Pennsylvania; 1981, U.S. Court of Appeals, Third Circuit; 1982, U.S. Supreme Court; 1986, U.S. Court of Appeals, Fourth and Sixth Circuits; 1990, U.S. Court of Appeals, Seventh Circuit; 1991,
Law School
Northeastern University, J.D., 1975
Law School Graduation Year
1975
College
Wellesley College; Northeastern University, B.A., with high honors, 1972
Memberships
Allegheny County Bar Association; Academy of Trial Lawyers of Allegheny County; Pennsylvania Trial Lawyers Association; The Association of Trial Lawyers of America.
Biographical
Author: Fiduciaries Beware: Communications Between Administrators and Counsel Are Not Privileged, Vol. 6, Benefits Law Journal, No. 2, Summer, 1993; Motions to Compel and Sanctions and Non-Party Written Discovery: Requirements and Techniques, PBI, 1992; ERISA Litigation: The View From the Plaintiffs' Side, Vol. XXII, The Barrister, No. 3, Autumn, 1991. Co-Author: The 80/20 Percent Solution: Enforcing Medical Coverage Promises, Vol. 32 Trial No. 10, October, 1996; Keeping Secrets: Confidentiality in Medical Benefits Plan Administration and Litigation, Vol. 8, Benefits Law Journal, No. 1, Spring 1995; Suing Banks and Financial Institutions: Perspective of Plaintiffs Counsel, Banking and Financial Services Conference, PBI, 1990.