Admitted
1974, Ohio; 1977, U.S. District Court, Northern and Southern Districts of Ohio; 1979, U.S. Court of Appeals, District of Columbia Circuit; 1980, U.S. District Court, Eastern District of Kentucky; 1983, U.S. Court of Appeals, Sixth Circuit; 1988, U.S. Cour
Law School
Ohio State University, J.D., cum laude, 1974
Law School Graduation Year
1974
College
Centre College; Ohio State University, B.S., 1969
Memberships
Columbus, Ohio State (Chair, Banking, Commercial and Bankruptcy Law Committee, 1992-1994) and American (Member, Business Law Section; Chair, Regulatory Enforcement and Director, Liability Subcommittee of Committee on Banking Law, 1985-1990) Bar Associations.
Biographical
Author: Baldwin's Ohio Practice, Commercial Code (vol. 3) (1996) (with Kevin L. Sykes); Capital Punishment: The Death of Limited Liability for Shareholders of Federally Regulated Financial Institutions, 24 Cap. U.L. Rev. 67 (1995) (with Bob F. Thompson and Bennett L. Ross) Banking Law is Not for Sisses: Judicial Review of Capital Directives, 12 J.L. & Com. 185, 1993; Bank Director Liability: Some Issues of Federalism, 1987 Mississippi Law Institute 201; Regulation of Bank Subsidiaries: The FDIC Stakes a Claim, 7 J.L. & Com. 1 (1987); Bank Regulatory Enforcement, 1985 Developments, 42 Bus. Law. 145 (1986); Bank Regulatory Enforcement, Some New Dimensions, 40 Bus. Law. 1319 (1985); Liability of Bank Directors, 39 Bus. Law. 1033 (1984). Regional Counsel, Federal Deposit Insurance Corporation, 1976-1985.