Securities: Regulation: Advisory (Band 2)
Practice Areas: Litigation partner, member of white collar criminal defense and securities enforcement practice group and securities enforcement and regulation practice. Practice includes United States Securities and Exchange Commission enforcement investigations, insider trading inquiries, internal investigations and related securities litigation. Also advises public companies and institutional investors on the application of the securities laws to their businesses. Frequent speaker, author on securities laws issues.
Career: Joined in 1988; became partner in 1995.
Personal: JD, University of Pennsylvania (1988), editor, University of Pennsylvania Law Review; LLB, University of Toronto Law School (1987); BS, with honors, Cornell University (1984).