Admitted
1981, South Dakota, U.S. District Court, District of South Dakota and U.S. Court of Appeals, Eighth Circuit; 1983, Minnesota
Law School
University of South Dakota, J.D., 1981; New York University, LL.M., 1982
Law School Graduation Year
1982
College
University of Iowa, B.G.S., 1975
Memberships
Minnesota State Bar Association; State Bar of South Dakota.
Biographical
Editor, South Dakota Law Review, 1980-1981. Publications: Current and Evolving Disclosure Delivery Practices of Issuers of Variable Insurance Products, ALI-ABA Conference on Life Insurance Products, November 1999; Opinions of Counsel in Corporate Transactions, Minnesota CLE, 1987 (co-author); Corporate Disclosure, Practicing Law Institute, 1984 (co-author); Corporate Disclosure and the Attorney-Client Privilege, Practising Law Institute, 1984 (co-author); Franchise Termination, South Dakota Law Review, 1981; Express Warranties, Disclaimers, and Limitations of Remedy, South Dakota Law Review, 1980. Staff Attorney, Office of the General Counsel, United States Securities and Exchange Commission, 1983-1985. Member: ACLI Committee on Securities Regulation, 1997-1999; ACLI Subcommittee on Insurance Broker-dealers, 1998-2001; NAVA Regulatory Affairs Committee, 1999—; NAVA Subcommittee on Prospectus Simplification, 1999—.