Practice Areas - Class Actions and Derivative Suits
- Securities Litigation
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| University | University of Colorado at Boulder, B.A., 1989 |
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| Law School | Temple University, J.D., 1993 |
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| Admitted | 1994, Colorado and Pennsylvania; 1995, New Jersey; 1997, California |
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| Memberships | American Bar Association (Member, Governing Council of the ABA Section of Litigation 2009 - Present; Co-Chair, Securities Litigation Committee, Section of Litigation, 2000-2003; Co-Chair, SEC Enforcement Subcommittee, 2003—; Co-Chair, Newsletters Committee, Section of Litigation, 2003-2004; Co-Chair, 2006 ABA Annual Meeting, Section of Litigation Planning Committee, 2004—; Member, Diversity Implementation Working Group, 2003—); National Asian Pacific American Bar Association (Executive Committee, 2005; Regional Governor 2001-2004). |
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| Born | Tokyo, Japan, March 10, 1965 |
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| Biography | Director, Board of Directors, Pan Asian Lawyers of San Diego, 2002—; Member, Board of Directors, NAPABA Law Foundation; Member, Board of Directors, La Jolla Music Society; Director, Southwest Center for Asian Pacific American Law, Inc., 2000-2003.
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| ISLN | 900544512 |
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Documents by this lawyer on Martindale.com | |
Supreme Court Limits 10b-5 Liability to Companies and Company Officials Making Statements to the MarketJohn Charles Dwyer,Koji F. Fukumura,William E. Grauer,Michael J. Klisch,Robert B. Lovett,Jessica Valenzuela Santamaria, June 17, 2011 On June 13, 2011, the United States Supreme Court issued a decision resolving the question of who may be deemed to have made a misrepresentation for purposes of primary liability in a private action under Rule 10b-5 and Section 10(b) of the Securities Exchange Act. In Janus Capital Group, Inc. v.... |
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