Practice Areas - Commercial Litigation
- NASD Arbitration
- Estate Litigation
| - Securities Litigation
- Trust Litigation
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| University | Stanford University, B.A., 1972 |
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| Law School | Stanford University, J.D., 1976 |
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| Admitted | 1976, Washington; U.S. Court of Appeals, Ninth Circuit |
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| Memberships | Washington State Bar Association (Board of Governors, 2001-2004; Rules of Professional Conduct Committee, 1999-2001); King County Bar Association (Board of Trustees, 1997-2000); Public Investors Arbitration Bar Association. |
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| Born | Longview, Washington, February 17, 1950 |
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| Biography | FINRA (formerly NASD) Arbitrator. Speaker: "Identifying and Litigating Claims Against Stockbrokers and Investment Advisers," National Business Institute CLE, 2008; "Securities Claims in the Probate and Estate Setting," King County Bar Association CLE, 2006; "Claims Against Fiduciaries: Law and Theory," Washington State Bar Association CLE, 2004. Author: "A Primer on the Unauthorized Practice of Law in Securities Arbitrations," Securities Arbitration 2006 (PLI, 2006). (Managing Partner)
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| Reported Cases | Ives v. Ramsden, 142 Wn.App. 369 (2008); Estate of Black, 153 Wn.2d 152; 102 P.3d 796 (2004). |
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| ISLN | 908538285 |
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