Admitted
1986, New York and District of Columbia
Law School
Harvard Law School, J.D., 1985
Law School Graduation Year
1985
College
Yale University, B.A., 1977
Biographical
Editor, Harvard Civil Rights - Civil Liberties Law Review. Co-Author: with Marianne Smythe and James Anderson, Investment Advisers: Law and Compliance, Matthew Bender; with Kimble C. Cannon, The National Securities Markets Improvement Act of 1996: Summary and Discussion, 25 Securities Regulation L.J.3 (1997). Adjunct Professor, Georgetown University, 2000—. Securities and Exchange Commission, Division of Investment Management, Senior Special Counsel (Office of Chief Counsel), 1995-1996, Assistant Chief of Office (Office of Regulatory Policy) 1993-1995.