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| Practice Areas | Complex Litigation; Civil Litigation; Antitrust; Securities; Commercial; International; Federal Agency Practice; SEC Enforcement; White Collar Crime; CFTC Enforcement | | | University | John Carroll University, A.B., 1970 | | | Law School | Cleveland State University, J.D., cum laude, 1973; Georgetown University, LL.M., Securities/Antitrust, 1982 | | | Admitted | 1973, Ohio; 1974, U.S. District Court, Northern District of Ohio; 1982, U.S. Supreme Court and U.S. Court of Appeals, Ninth Circuit; 1986, District of Columbia; 1990, New York; 1992, U.S. District Court for the District of Columbia and U.S. Court of Appeals, Third Circuit; 1994, U.S. Tax Court and U.S. Court of Federal Claims; 1995, U.S. Court of Appeals for the District of Columbia Circuit | |
| Memberships | American (Member, Sections on: Litigation; Business Law; Committee on SEC Enforcement Matters and Litigation) and International Bar Associations. | | | Born | Cleveland, Ohio, June 13, 1948 | | | Biography | Editor, Cleveland State University Law Review, 1972-1973. Member, Moot Court Board and Order of the Barristers. Selected one of Five Best Litigators, Washington Business Journal, 1996. Adjunct Professor of Law, Cleveland State University, 1974-1976. Special Trial Counsel, Office of General Counsel, Securities and Exchange Commission, 1981-1985. Attorney, 1978-1979 and Senior Counsel, 1979-1981, Division of Enforcement, Securities and Exchange Commission. | | | ISLN | 906967476 | |
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