“How to Select a Business Litigator,” Columbus CEO Magazine (August 2004)
“Reference Checks and the Law,” Council on Education and Management Newsletter (April 2004)
Contributor, Employment Discrimination Law (1998, 2001)
“Employment Practices Liability Insurance: You Better Shop Around,” The Employment Law Strategist (April 1999)
PRESENTATIONS
“Elements–Substantial Harm & Public Interest,” 2023 Federal Bar Association Trial Academy (September 2023)
“Discovery Do’s and Don’ts,” Ulmer Webinar (May 2023)
“Litigation Challenges in the Wake of the COVID-19 Pandemic,” Ulmer Webinar (May 2020)
“Reopening the Workplace V2: New Updates,” CBIZ Webinar (May 2020)
“The Anatomy of a Whistleblower Action: Procedure, Practice Pointers, and Avoiding Pitfalls,” Ulmer, Hot Topics in Financial Services & Securities Litigation Webinar (December 2019)
“Becoming a FINRA Arbitrator,” FINRA Lunch and Learn (November 2019)
“How to Argue a TRO Motion,” Cleveland Employment Inn of Court (February 2019)
“The New Landscape for Trade Secret Lawsuits and Some Lessons from the Trenches,” Ulmer Litigation Conference (September 2017)
“Setting the Permanent Record Straight: Trying U-5 Defamation Cases,” Ulmer & Berne, Financial Services & Securities Litigation Hot Topics 2015 (November 2015)
“Dodd-Frank and Sarbanes-Oxley Whistleblower Investigations and Litigation: Preventing and Defending Whistleblower Claims,” Association of Corporate Counsel, Central Ohio Chapter (September 2015)
“A Fresh Look at Some Restrictive Covenant Issues,” Hot Topics in Financial Services & Securities Litigation (October 2014)
“Navigating Non-Compete and Non-Disclosure Agreements,” AICPA Global Manufacturing Conference (September 2014)
“What Happens When the Whistle Blows?” Financial Services Hot Topics (December 2013)
“Restrictive Covenants: How Do Courts View Them?” (November 2012)
“Enforcing Non-Competition Agreements: You Be the Judge,” Ohio State Bar Association’s 49th Annual Midwest Labor and Employment Seminar (Fall 2012)
Publications & Presentations
PUBLICATIONS
“How to Select a Business Litigator,” Columbus CEO Magazine (August 2004)
“Reference Checks and the Law,” Council on Education and Management Newsletter (April 2004)
Contributor, Employment Discrimination Law (1998, 2001)
“Employment Practices Liability Insurance: You Better Shop Around,” The Employment Law Strategist (April 1999)
PRESENTATIONS
“Elements–Substantial Harm & Public Interest,” 2023 Federal Bar Association Trial Academy (September 2023)
“Discovery Do’s and Don’ts,” Ulmer Webinar (May 2023)
“Litigation Challenges in the Wake of the COVID-19 Pandemic,” Ulmer Webinar (May 2020)
“Reopening the Workplace V2: New Updates,” CBIZ Webinar (May 2020)
“The Anatomy of a Whistleblower Action: Procedure, Practice Pointers, and Avoiding Pitfalls,” Ulmer, Hot Topics in Financial Services & Securities Litigation Webinar (December 2019)
“Becoming a FINRA Arbitrator,” FINRA Lunch and Learn (November 2019)
“How to Argue a TRO Motion,” Cleveland Employment Inn of Court (February 2019)
“The New Landscape for Trade Secret Lawsuits and Some Lessons from the Trenches,” Ulmer Litigation Conference (September 2017)
“Setting the Permanent Record Straight: Trying U-5 Defamation Cases,” Ulmer & Berne, Financial Services & Securities Litigation Hot Topics 2015 (November 2015)
“Dodd-Frank and Sarbanes-Oxley Whistleblower Investigations and Litigation: Preventing and Defending Whistleblower Claims,” Association of Corporate Counsel, Central Ohio Chapter (September 2015)
“A Fresh Look at Some Restrictive Covenant Issues,” Hot Topics in Financial Services & Securities Litigation (October 2014)
“Navigating Non-Compete and Non-Disclosure Agreements,” AICPA Global Manufacturing Conference (September 2014)
“What Happens When the Whistle Blows?” Financial Services Hot Topics (December 2013)
“Restrictive Covenants: How Do Courts View Them?” (November 2012)
“Enforcing Non-Competition Agreements: You Be the Judge,” Ohio State Bar Association’s 49th Annual Midwest Labor and Employment Seminar (Fall 2012)
Publications & Presentations
PUBLICATIONS
“How to Select a Business Litigator,” Columbus CEO Magazine (August 2004)
“Reference Checks and the Law,” Council on Education and Management Newsletter (April 2004)
Contributor, Employment Discrimination Law (1998, 2001)
“Employment Practices Liability Insurance: You Better Shop Around,” The Employment Law Strategist (April 1999)
PRESENTATIONS
“Elements–Substantial Harm & Public Interest,” 2023 Federal Bar Association Trial Academy (September 2023)
“Discovery Do’s and Don’ts,” Ulmer Webinar (May 2023)
“Litigation Challenges in the Wake of the COVID-19 Pandemic,” Ulmer Webinar (May 2020)
“Reopening the Workplace V2: New Updates,” CBIZ Webinar (May 2020)
“The Anatomy of a Whistleblower Action: Procedure, Practice Pointers, and Avoiding Pitfalls,” Ulmer, Hot Topics in Financial Services & Securities Litigation Webinar (December 2019)
“Becoming a FINRA Arbitrator,” FINRA Lunch and Learn (November 2019)
“How to Argue a TRO Motion,” Cleveland Employment Inn of Court (February 2019)
“The New Landscape for Trade Secret Lawsuits and Some Lessons from the Trenches,” Ulmer Litigation Conference (September 2017)
“Setting the Permanent Record Straight: Trying U-5 Defamation Cases,” Ulmer & Berne, Financial Services & Securities Litigation Hot Topics 2015 (November 2015)
“Dodd-Frank and Sarbanes-Oxley Whistleblower Investigations and Litigation: Preventing and Defending Whistleblower Claims,” Association of Corporate Counsel, Central Ohio Chapter (September 2015)
“A Fresh Look at Some Restrictive Covenant Issues,” Hot Topics in Financial Services & Securities Litigation (October 2014)
“Navigating Non-Compete and Non-Disclosure Agreements,” AICPA Global Manufacturing Conference (September 2014)
“What Happens When the Whistle Blows?” Financial Services Hot Topics (December 2013)
“Restrictive Covenants: How Do Courts View Them?” (November 2012)
“Enforcing Non-Competition Agreements: You Be the Judge,” Ohio State Bar Association’s 49th Annual Midwest Labor and Employment Seminar (Fall 2012)
Publications & Presentations
PUBLICATIONS
“How to Select a Business Litigator,” Columbus CEO Magazine (August 2004)
“Reference Checks and the Law,” Council on Education and Management Newsletter (April 2004)
Contributor, Employment Discrimination Law (1998, 2001)
“Employment Practices Liability Insurance: You Better Shop Around,” The Employment Law Strategist (April 1999)
PRESENTATIONS
“Elements–Substantial Harm & Public Interest,” 2023 Federal Bar Association Trial Academy (September 2023)
“Discovery Do’s and Don’ts,” Ulmer Webinar (May 2023)
“Litigation Challenges in the Wake of the COVID-19 Pandemic,” Ulmer Webinar (May 2020)
“Reopening the Workplace V2: New Updates,” CBIZ Webinar (May 2020)
“The Anatomy of a Whistleblower Action: Procedure, Practice Pointers, and Avoiding Pitfalls,” Ulmer, Hot Topics in Financial Services & Securities Litigation Webinar (December 2019)
“Becoming a FINRA Arbitrator,” FINRA Lunch and Learn (November 2019)
“How to Argue a TRO Motion,” Cleveland Employment Inn of Court (February 2019)
“The New Landscape for Trade Secret Lawsuits and Some Lessons from the Trenches,” Ulmer Litigation Conference (September 2017)
“Setting the Permanent Record Straight: Trying U-5 Defamation Cases,” Ulmer & Berne, Financial Services & Securities Litigation Hot Topics 2015 (November 2015)
“Dodd-Frank and Sarbanes-Oxley Whistleblower Investigations and Litigation: Preventing and Defending Whistleblower Claims,” Association of Corporate Counsel, Central Ohio Chapter (September 2015)
“A Fresh Look at Some Restrictive Covenant Issues,” Hot Topics in Financial Services & Securities Litigation (October 2014)
“Navigating Non-Compete and Non-Disclosure Agreements,” AICPA Global Manufacturing Conference (September 2014)
“What Happens When the Whistle Blows?” Financial Services Hot Topics (December 2013)
“Restrictive Covenants: How Do Courts View Them?” (November 2012)
“Enforcing Non-Competition Agreements: You Be the Judge,” Ohio State Bar Association’s 49th Annual Midwest Labor and Employment Seminar (Fall 2012)