o-head of the firm’s Derivatives Group. Advises on derivatives regulation, derivatives and agency litigation, and business counseling. Represents major financial institutions, corporations, exchanges, clearing organizations, and asset managers before the U.S. Commodity Futures Trading Commission (CFTC), Securities and Exchange Commission (SEC), Departments of Treasury and Labor and federal banking agencies.
Adjunct Professor, Securities Regulation Graduate Program, “Seminar in Regulation of Derivatives,” Georgetown University Law Center (1991-2011); Assistant General Counsel, U.S. Commodity Futures Trading Commission (1977-1982).
J.D., Georgetown University Law Center, 1977; B.A., Tufts University, 1974 (magna cum laude).