Practice Areas - Securities Law
- Business Law
- Corporate Law
- Commercial Litigation
- Buying and Selling of Businesses
- Mergers and Acquisitions
| - Securities Regulation
- SEC Enforcement Proceedings
- FINRA Enforcement Proceedings
- Securities Arbitration
- Securities Fraud
- Real Estate
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| University | St. John's University, B.A., cum laude, 1987 |
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| Law School | St. John's University School of Law, J.D., 1990 |
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| Admitted | 1991, New York; 1993, U.S. District Court, Southern and Eastern Districts of New York |
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| Memberships | New York State Bar Association (Business Law Section and Commercial and Federal Litigation Section); The Association of the Bar of the City of New York; Association of U.S. Securities and Exchange Commission Alumni. |
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| Born | Queens, New York, May 22, 1964 |
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| Biography | Research Editor, St. John's Journal of Legal Commentary, 1989-1990. Staff Attorney, U.S. Securities and Exchange Commission, Northeast Regional Office, 1990-1993. Author: "A Review of the SEC's Proposed Amendments to the Executive Compensation Disclosure Rules," BNA Executive Compensation Library, April 2006, Journal Reports: Law and Policy; "The Right to Succeed: The Validity of the Succession Provisions in the 1987 Rent Stabilization Code," St. John's Journal of Legal Commentary, Vol. 4, Issue 2. |
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| ISLN | 904319079 |
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