Admitted to bar, 1975, New York. Education: State University of New York at Stony Brook (B.S., cum laude, 1971); New York University (J.D., 1974; LL.M. in Taxation, 1981). Co-author: "An Update on Hedge Funds," Business Law Today, September/October 1997 at 58; "Steps for Organizing a Broker Dealer," Private Asset Management, January 27, 1997 at 11; "Handling Hedge Funds-Navigating the Regulatory Maze," Business Law Today, May/June 1996, at 54; "Watch Out for Commodities Law Compliance," Private Asset Management, December 18, 1995, at 9. Author: "Performance-Based Fees Under the Investment Advisers Act of 1940," The Business Lawyer, February, 1984. Member: The Association of the Bar of the City of New York; American Bar Association (Section on Corporation, Banking and Business Law); New York County Lawyers' Association (Committee on Securities and Exchanges, 1978-1980). Panel of Arbitrators, American Stock Exchange, Inc., 1986. |