Practice Areas - Litigation Area
- Accountant Defense
- Securities
- Banking and Leveraged Finance
- Broker-Dealer
- Corporate Governance and Compliance
- E-Discovery
- Emerging Growth Companies
- Insurance Litigation
- Hedge Funds
| - Insurance Practice
- Investment Management
- Mergers and Acquisitions
- Privacy and Security
- Securities Enforcement and Investigations
- Securities and Financial Institutions Litigation
- Subprime Task Force
- Financial Services Area
- Registered Investment Companies
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| Contact Info | Telephone: 617-951-8000 Telecopy: 617-951-8736 http://www.bingham.com/Lawyer.aspx?LawyerID=61
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| University | Swarthmore College, Bachelor of Arts, 1973 |
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| Law School | Yale Law School, Juris Doctor, 1976 |
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| Admitted | 1977, Massachusetts; 1984, District of Columbia; U.S. Supreme Court; U.S. Court of Appeals, First Circuit; U.S. District Court, District of Massachusetts; U.S. Court of Appeals, District of Columbia Circuit |
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| ISLN | 906712250 |
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Documents by this lawyer on Martindale.com | |
New Reporting Obligations on Form PF for Private Fund AdvisersSteven W. Hansen,Gerald J. Kehoe,Ephraim D. Lemberger,Robert G. Leonard,Michael F. Mavrides,Thomas M. Schiera, November 14, 2011 The Securities and Exchange Commission (the “SEC”) and the Commodity Futures Trading Commission (the “CFTC”) adopted joint final rules that will require many private fund advisers (each, an “adviser”) to file and periodically update Form PF. Form PF is primarily... |
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