James F. Jorden

Securities, Mediation
Suite 400 East, 1025 Thomas Jefferson Street, N.W.
Washington, District of Columbia 200070805


Securities

Admitted

1966, Virginia; 1968, District of Columbia; 1982, Florida

Law School

George Washington University, LL.B., 1966

Law School Graduation Year

1966

College

Dickinson College, B.A., 1963

Memberships

District of Columbia Bar (Chairman, Division of Corporation, Finance and Securities Law, 1974-1978); American Bar Association (Chairman, Committee on Employee Benefits, Tort and Insurance Practice Section, 1978-1980; 1985-1987; Member: Federal Securities Law Committee, 1976—; Chairman, Sub-Committee on Securities Activities of Insurance Companies, 1983—; Member, Business Litigation Committee; Chairman, Sub-Committee on ERISA Litigation); The American Law Institute; American Bar Foundation.

Biographical

Research Editor, George Washington Law Review, 1965-1966. Author: ‘Paying Up’ For Research: A Regulatory and Legislative Analysis, Duke Law Journal 1103, 1975; Special Insurance Company Problems in the Marketing and Administration of Pension and Health and Welfare Plans, The Forum, XI, No. 4, 1054, Summer 1976; Federal Fraud and State Law Fiduciary Duties - A Tour of The Circuits Reveals Continuing Confusion, Idaho Law Review, Spring, 1983. Co-Author: Section 22 (d) of The Investment Company Act of 1940 - Its Original Purpose and Present Function, Duke Law Journal 975, 1973; An Appraisal of Disclosure Requirements in Contest For Control Under The Williams Act, 46 George Washington Law Review 817, 1980; Handbook on ERISA Litigation, Prentice Hall Law & Business, January 1993. Co-Chairman, ALI/ABA Conference on Securities, Tax and ERISA Issues Affecting Insurance Companies, Fall 1983-1999. Chairman, ALI/ABA Conference on Life Insurance Litigation, Spring, 1996-2002. Co-Chairman, Practicing Law Institute Seminar, Insurance Companies and The Federal Securities Laws, 1979. Panelist: Practicing Law Institute Seminars; Non-Federal Class Actions, 1999-2002; Investment Company Institute Annual Mutual Funds and Investment Management Conference, 1977, 1979, 1980, 1981, 1982, 1996; Class Action Litigation Panel, Annual Meetings, CCIA, 1996, ALIC, 1998, ACLI, 1999; Developments in ERISA Litigation, Annual Meeting, National Organization of Life and Health Guarantee Association, 1994, 1995; ERISA and Securities Litigation Update, ABA Tips Sect ion, 1995; Market Conduct Litigation, 2002.

Military