Admitted
1966, Michigan; 1974, U.S. Supreme Court; 1978, U.S. Tax Court and U.S. Court of Appeals, Sixth Circuit
Law School
University of Michigan, J.D., 1965
Law School Graduation Year
1965
College
Ferris State College, B.S., 1963
Memberships
Detroit (Member, 1975— and Chairman, 1993-1998, Securities and Commodities Regulation Section; Public Advisory Committee Judicial Candidates) and American (Member, Business Law Section; Committee on Federal Regulation of Securities; Proxy Solicitations and Tender Offers Subcommittee, 1984—; Subcommittee on Negotiated Transactions, 1987-1990) Bar Associations; State Bar of Michigan (Member, Sections on: Business Law; Taxation); Michigan Association of Certified Public Accountants.
Biographical
Phi Alpha Delta. Certified Public Accountant, Michigan, 1971. Publications: A Challenge to the Validity of Rule 10b5-1, Securities Regulation Law Journal, Vol. 30, No. 3, Fall 2002; Rumors Possession v. Use, Fiduciary Duty and Other Current Insider Trading Considerations, Business Lawyer, Vol. 55, No. 2, February 2000; Insider Trading Charges: Another ‘Semi-Innocent’ Caught, Michigan Bar Journal, Vol. 78, No. 2, February 1999.