Admitted
1976, Oklahoma; 1985, Nebraska; 1992, New York; 1995, Connecticut; 2002, Missouri
Law School
University of Oklahoma, J.D., 1975
Law School Graduation Year
1975
College
Wellesley College, B.A., cum laude, 1970
Memberships
Oklahoma, New York State, Connecticut, Nebraska State and American (Member, State Regulation of Securities Committee, Business Law Section) Bar Associations; North American Securities Administrators Association (President, 1989-1990; Board of Directors, 1990-1991; Chairman, Task Force on Settlement with Drexel Burnham & Lambert, 1989-1991).
Biographical
Order of the Coif. Research Editor, Oklahoma Law Review, 1973-1975. Author: Information Exchange-Variable Products and Blue Sky Laws, NSCP Current, March/April 2000; Comments on Reform of the U.S. Financial and Securities Markets, Toledo Transcript, Spring, 1990; Oklahoma Securities Act - 1984 Amendments, (with P. David Newsome, Jr.) 55 Okla. B.J. 2659, 1984. Presenter: Numerous presentations nationally on securities and compliance issues; Securities Industry Association, Securities Activities of Insurance Companies, 1997, Orlando, Florida; Institute for International Research Variable Product Advertising Issues, 1996, Washington, D.C.; Investment Company Institute NASD Issues, 1994, Washington, D.C.; Fourth Annual New England Securities Conference Investment Advisers and Investment Companies, 1994, Boston, Massachusetts; National Regulatory Services, Broker Dealer Arrangements - Variable Insurance Contracts, 1994, New York, New York. Visiting Assistant Professor of Law, University of Oklahoma School of Law, Norman, Oklahoma, 1988. Adjunct Professor of Law, Oklahoma City University School of Law, 1987-1988; Adjunct Professor of Accounting, Oklahoma City University, Meinders School of Business, Oklahoma City, Oklahoma, 1986-1987.