|Counsel||Task Force on Banking Boards and Commissions of the President's Private Sector Survey on Cost Controls (Grace Commission)||1982 - 1983|
|Assistant counsel||Securities Subcommittee of the U.S. Senate Committee on Banking, Housing and Urban Affairs||1975 - 1977|
|Attorney||Private Practice||1970 - 1975|
|Member||Securities and Exchange Commission||1967 - 1970|
|Association name||Position name||Duration|
|American Bar Association, Committee on Developments in Investment Services||Member||N/A|
|American Bar Association||Subcommittee on Securities Activities of Banks||N/A|
|Boston Bar Association||Member||N/A|
|Federal Bar Association||Member||N/A|
|Money Manager's Compliance Guide||Book, co-editor||N/A|
|The Investment Lawyer||Book, Co-author||N/A|
|Problems of Fiduciaries Under the Securities Laws, American Bar Association||Book, Contributing author||N/A|
|Georgetown University Law Center||Law||JD - Juris Doctor||1969|
|Rockhurst University||N/A||BA - Bachelor of Arts||1966|
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