Admitted
1987, New York and U.S. District Court, Southern and Eastern Districts of New York; 2003, Pennsylvania
Law School
New York Law School, J.D., 1986
Law School Graduation Year
1986
College
Rutgers University, B.A., 1983
Memberships
The Association of the Bar of the City of New York; New York State (Member, Committee on Class Actions) and American Bar Associations.
Biographical
Author: Maintaining the Integrity of Internal Probes: Enron and Global Crossing Offer Valuable Lessons to Corporations, The National Law Journal, June 2003; Enron Court Clarifies Pleading Standard for Individual Representatives of a Professional Accounting Firm, Securities Reform Act Litigation Reporter, April 2003, and Metropolitan Corporate Counsel, May 2003; Courts Clarify PSLRA Rules Applicable to Lead Plaintiff Selection Process, Metropolitan Corporate Counsel, September 2002; Disclosing Illegal Conduct of Public Companies, New York Law Journal, February 22, 2001; Securities Liabilities in Employee Stock Options, New York Law Journal, April 18, 2001; and Pleading Scienter Based on a Corporation's Restatement of Financial Results, New York Law Journal, January 31, 2000. Authored a chapter on the Foreign Corrupt Practices Act for the treatise White Collar Crime: Business and Regulatory Offenses.