Represents financial services firms and their employees with respect to a wide range of litigation and regulatory matters. These matters have included securities class actions, mass actions, lawsuits and arbitrations involving investors and employment practices at financial services firms as well as regulatory matters.
Partner; Securities and Commodities Litigation Practice Group Chair.
ABA Securities Litigation Committee (Co-Chair, 2003-06); ABA Subcommittee on Broker-Dealer Litigation (Co-Chair, 1993-2003).
Annual Survey of Broker-Dealer Litigation (Co-Editor, 1993-2003).
University of Chicago Law School (JD, 1978); University of Chicago (MBA, 1975); Kenyon College (AB, 1974).