|
Profile Visibility  | | #241 in weekly profile views out of 2,600 lawyers in Memphis, Tennessee | | #60,152 in weekly profile views out of 968,464 total lawyers Overall |
|
|
| |
| Practice Areas | Banking Regulation; Broker-Dealer Regulation; Securities; Mergers and Acquisitions | | | Education | University of Memphis, J.D., with highest honors, 1996, Rhodes College, B.A., cum laude, 1987 | | | Admitted | 1996, Tennessee | |
| Memberships | Memphis, Tennessee and American Bar Associations. | | | Born | Nashville, Tennessee, October 22, 1965 | | | Biography | Listed in: Best Lawyers in America, Banking Law, 2008—; Mid-South Super Lawyers, Business/Corporate. Adjunct Professor of Law, Cecil C. Humphreys School of Law. Author: "When the Government becomes a Stockholder: Impact of the Capital Purchase Program on Bank Regulation," University of Memphis Law Review (Summer 2009). Co-Author, "Know Who You are in Any Transactions with Broker/Dealers," Tennessee Chamber of Commerce & Industry Business Insider Newsletter (May 2008). Speaker: "Rethinking the US Regulatory Structure Governing Financial Institutions: 21st Century Solutions for a 21st Century Marketplace," University of Memphis Symposium (February 2009); "How will the Financial Stabilization Legislation Affect Your Business?" Baker Donelson Webinar, November 2008; "Liability for Unauthorized Disclosure of Consumer Personal Information," ABA Corporate Counsel Committee Meeting, February 2007; "Ethical Issues for In-House Counsel," October 2006. Contributor, Bank Mergers and Acquisitions Handbook, ABA Antitrust L. Sec., 2006. Tennessee Bar Leadership Law Graduate, 2005. | | | ISLN | 910276571 | |
|
|