Ronald P. Kane

Securities, Mediation
208 South La Salle Street, Suite 1800
Chicago, Illinois 60604


Securities

Admitted

1972, Illinois and U.S. District Court, Northern District of Illinois, including Trial Bar; U.S. Court of Appeals, Seventh Circuit

Law School

Loyola University, J.D., 1972

Law School Graduation Year

1972

College

Northern Illinois University, B.S., 1969

Memberships

Chicago, Illinois State, and American Bar Associations.

Biographical

Associate Editor, Loyola Law Review, 1971-1972. Author: Section 5 of The Federal Trade Commission Act: An Antitrust Supplement, 2 Loyola Law Journal 306 (1972); Improper Corporate Payments: The Second Half of Watergate, 9 Securities Law Rev. 703 (1977). Adjunct Professor, Loyola University, 1974-1986. Assistant Regional Administrator (Enforcement), Chicago Regional Office-U.S. Securities and Exchange Commission, 1977-1984. Special Assistant U.S. Attorney for the Eastern District of Missouri and the Southern District of Illinois. Recipient: Frank J. McGarr Award, Chicago Chapter of the Federal Bar Association, 1978-1979; Irving M. Pollack Award, Securities and Exchange Commission, 1982. Member, U.S. Securities and Exchange Commission Alumni Association.

Military