Admitted
1978, New York; 1979, U.S. District Court, Southern and Eastern Districts of New York; 1984, U.S. Court of Appeals, Second and Seventh Circuits; 1988, U.S. Court of Appeals, Fifth Circuit and U.S. Supreme Court
Law School
George Washington University, J.D., with honors, 1977
Law School Graduation Year
1977
College
George Washington University, B.A., with distinction, 1974
Biographical
Author: Contesting Price-Fixing Class Action Claims in Commodities Futures Markets, The Journal of Investment Compliance, Summer 2001; Rogue Traders & Futures Brokers: Who Bears the Legal Responsibility for Unauthorized Trading?, 6 Secs. Litig. & Reg. Rep., No. 11, 2001; Unexpected SEC Issues are Arising Online, The National Law Journal, February 9, 1998; Shareholders, Stakeholders and the Law, Directorship's Significant Issues Facing Directors: 1997, February, 1997; SEC Studies Disclosure in Securitizing, The National Law Journal, February 10, 1997. (New York, N.Y. Office)