Admitted
1968, New York; 1981, District of Columbia
Law School
St. John's University, J.D., 1967
Law School Graduation Year
1967
College
City College of New York, B.A., 1964
Biographical
Associate Editor, Law Review, 1966-1967. Division of Enforcement, Securities and Exchange Commission, 1967-1968, 1972-1986, 1991-1995; Chief Trial Attorney, Division of Enforcement, 1980-1986. Adjunct Professor, Georgetown University Law Center. Co-author: The Securities Enforcement Manual: Tactics and Strategies, Section of Business Law, American Bar Association, 1997; The SEC's attempt to Impose a Regulatory Regime on Municipal Securities Issuers, Securities Regulation Law Journal, Fall 1996.