Practice Areas - Securities Fraud
- Consumer Fraud
| - Corporate Litigation
- Mediation
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| University | Queens College of the City University of New York, B.A., 1985 |
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| Law School | New York University, J.D., 1988 |
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| Admitted | 1989, New York and U.S. District Court, Southern, Eastern and Northern Districts of New York; U.S. Court of Appeals, Second and Fifth Circuits; U.S. District Court, District of Colorado and U.S. Supreme Court |
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| Memberships | The Association of the Bar of the City of New York; New York State and American Bar Associations; New York County Lawyers Association; American Association for Justice. |
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| Biography | Former Member: Wolf Popper LLP, 1991-1995, 1997-1998; Kirby McInerney & Squire LLP, 1995-1996; LeBoeuf, Lamb, Greene & MacRae LLP, 1981-1991. |
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| Reported Cases | In re Gulf Oil/Cities/Cities Service Tender Offer Litigation, (S.D.N.Y.); In re Marion Merrell Dow Inc. Securities Litigation, Sommerfield v. Tracinda (D. Nev.), In re U.S. Banknote Corp. Securities Litigation, (S.D.N.Y.); In re Amdahl Corp. Shareholders Litigation, (Del. Ch.); In re Northeast Utilities Securities Litigation, In re ICN/Viratek Securities Litigation, (S.D.N.Y.); In re PaineWebber Securities Litigation, (S.D.N.Y.); ITT v. Hilton Hotels Corp. et al., CV-S-97-0095-PMP (RLH) (D.Nev.); In re Warner Lambert Derivative Litigation (Del. Ch.), In re Cendant Securities Litigation (D.N.J.); In re Telxon Corp. Securities Litigation (D.Ohio). |
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| ISLN | 903750804 |
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