Dave’s practice focuses on antitrust and trade regulation matters and financial institution regulation.
His antitrust and trade regulation practice concentrates on antitrust counseling and representation before Federal and State government enforcement agencies. He has advised clients across the gamut of antitrust issues including Hart-Scott-Rodino Act compliance, mergers and acquisitions, joint ventures, distribution and marketing, intellectual property and antitrust compliance programs. Dave has guided many mergers and acquisitions through the merger review process, both in the United States and abroad.
Dave is actively involved in representing financial institutions in regulatory and business planning matters including mergers and acquisitions, regulatory compliance and enforcement actions.
Dave has been a shareholder in McGrath North since 1987.
PRACTICE AREAS
Trade Regulation and Antitrust
Mergers and Acquisitions
Antitrust Compliance and Counseling
Government Investigations
Marketing and Distribution
Antitrust Litigation
Financial Services: Financial Institutions
PROFESSIONAL BACKGROUND
Admitted
Nebraska, 1985
U.S. Tax Court, 1985
U.S. Court of Appeals, Eighth Circuit, 1985
Education
University of Nebraska College of Law J.D., 1985
University of Nebraska-Lincoln B.S., 1982
Professional Organizations
Omaha Bar Association
Nebraska State Bar Association
American Bar Association (Corporation, Banking and Business Law, Litigation and Antitrust Sections) |