Structuring and regulatory analysis of complex securities and derivatives transactions and US securities and derivatives law regulation. Clients include major financial and capital markets trade associations, major banks, exchanges, clearinghouses, sovereign and other market participants and infrastructure providers.
JD, Columbia University School of Law (1982) (Stone Scholar); BA, MA (Hon), Oxford University (1975).
Past member ISDA Regulatory Advisory Committee, past member FIA Board of Directors, Advisory Board, Oxford University Press Capital Markets Law Journal.
Co-author “US Regulation of the International Securities and Derivatives Markets” (eighth edition, 2005).