Former co-chair of the firm’s Antitrust and Trade Regulation Practice Group. Focuses on antitrust, mergers and acquisitions, distribution, franchise, and other commercial litigation. Represents clients before the Department of Justice, Federal Trade Commission, the Federal Reserve Board and a number of state agencies. Routinely consults with parties to mergers and acquisitions on compliance with federal and state antitrust laws, state franchise laws, the Hart-Scott-Rodino Act, and foreign premerger notification laws.
University of Michigan Law School, J.D., 1984; University of Pennsylvania, Wharton School of Business, B.S., 1981.