Focuses on mergers and acquisitions, securities regulation, corporate finance and corporate governance. Experienced in SEC issues (having served five years on the staff of the SEC) and provides corporate and securities law advice to a number of public companies on an ongoing basis. Clients include electric and gas utilities, diversified energy companies and private investment funds, as well as U.S. industrial and financial service companies. Has an active corporate governance practice and regularly advises boards and board committees on the Sarbanes-Oxley Act, compliance and internal investigation matters.
J.D., University of Connecticut, 1974; B.A., Oberlin College, 1970.