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Ralph C Ferrara

Ralph C Ferrara

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Practice areas:

Employee Benefits, Litigation, Antitrust & Trade Law, Employment & Labor, Insurance

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Practice Areas

Licensed since 1970

  1. Insurance: 20%
  2. Employment & Labor: 20%
  3. Antitrust & Trade Law: 20%
  4. Litigation: 20%
  5. Employee Benefits: 20%

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Contact Info

LEBOEUF LAMB GREENE & MACRAE LLP

1875 Connecticut Avenue N West Suite 1200

Washington, DC, 20009-5715

Proskauer Rose Llp

1001 Pennsylvania Avenue NW
Suite 600 South
Washington, DC, 20004

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Resume

License

StateStatusAcquiredUpdated
DCActive 197005/24/2015

Professional Misconduct

We have not found any instances of professional misconduct for this lawyer.

Avvo Contributions

Legal Answers

Associations

Association NamePosition NameDuration
American Bar AssociationMemberN/A
Federal Bar AssociationMemberN/A
American Law InstituteMemberN/A

Publications

Publication NameTitleDate
Corporate CounselorLast Call for Non-proportionate Bar Orders2007
Bloomberg Securities Litigation ReportOut of Control: Liability Under Section 20 of the Securities Exchange Act2007
GWirth Securities Litigation ReportShall We Commence The Proceedings?2007
Bloomberg Securities Litigation ReportClass Action Fairness Act: The Camel Passing Through the Eye of the Needle2007
Wall Street LawyerWhen the Agent Strays and Principal Pays -- Respondeat Superior Liability after Central Bank Decision2006
BNA, Inc.'s Securities Regulation & Law ReportCorners and Strange Places: Scheming Between the SEC and the Department of Justice2006
Bloomberg Law ReportsPracticing At Your Peril: Attorneys Increasingly Face SEC Enforcement Actions and Criminal Prosecutions2005
Securities Litigation & RegulationItem 9 Trends: A Window on Regulation FD in Action,2001
Law Journal Press publicationFerrara on Insider Trading and the Wall2001
Aspen Law & BusinessGuide to Mergers & Acquisitions2001
International Financial Law ReviewRegulation FD: Fair Disclosure for a Fairer Market?2000
Commerce Clearing House (CCH) publicationResponsibilities of Broker-Dealers 2nd Investment Advisers2000
American University Law ReviewSEC Enforcement Proceedings: Strategic Considerations for When the Agency Comes Calling1999
Directors & Boards MagazineYou Have Been Named in a Class-Action Lawsuit1999
University of Cincinnati Law ReviewInternal Corporate Investigations and the SEC's Message to Directors in Cooper Co1996
Law Journal Seminars PressLitigation: Besieging the Board1995
Law Journal Press publicationFerrara on Insider Trading and the Wall1995
Review of Securities & Commodities RegulationAlternative Dispute Resolution in Class Action Suits1993
Prentice Hall Law and BusinessInsider Trading: Law Firms as Targets1993
ButterworthsBeyond Arbitration: Designing Alternatives to Securities Litigation1991

Education

School NameMajorDegreeGraduated
George Washington University National Law CenterN/ALL.M - Master of Laws1972
University of Cincinnati College of LawLawJD - Juris Doctor1970
Georgetown UniversityBusiness AdministrationBS - Bachelor of Science1967

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