Background
Hiler, Bruce A. was born on June 4, 1952 in Watervliet, Michigan, United States.
Hiler, Bruce A. was born on June 4, 1952 in Watervliet, Michigan, United States.
University of Notre Dame (Bachelor of Arts, magna cum laude, 1974). University of Michigan (Juris Doctor, cum laude, 1977).
Worked at O'Melveny & Myers LLP (Los Angeles, California) specializing in General Civil Litigation, Appellate Practice, and Criminal Trials Practice in all State and Federal Courts. Administrative; Antitrust. Banking; Bankruptcy; Commercial.
Communications; Construction. Corporation and Corporate Financing. Environmental; Immigration and Naturalization.
Insurance Coverage Defense. Intellectual Property. International Business.
Labor and Employment. Employment Benefits; Media and Entertainment. Municipal, Municipal Zoning and Municipal Finance.
Natural Resources; Oil and Gas. Patent, Trademark, Copyright and Unfair Competition. Probate, Trusts and Estate Planning.
Public Utilities; Real Estate. Securities; and Tax Law. Admitted to the bar, 1977, Illinois.
1995, District of Columbia. Author: Enforcement Issues and Litigation, Securities Regulation Law Journal, Volume 25, No. 1 (Spring, 1997); The SEC's Use of Its Cease-and-Desist Authority: a Survey Securities Regulations Law Journal (Fall, 1995).
Retail Broker Compensation, Insights (Volume 9, No. 10; October, 1995); "Management's Discussion and Analysis: Known Trends In SEC Enforcement," 8 (2) Insights (December 1994). "The Central Bank of Denver Decision and the SEC: Effects of the Decision and the SEC's Possible Response," 8 Corporation Counsel Rev.
1 (May 1994); The SEC and the Insider Trader/Tipper, N.Y.L.J., August 29, 1991. Basic Inc. v. Levinson: The Supreme Court's Opinion on Disclosure of Merger Negotiations, in Theory and Practice, 7 Corporation Counsel Rev. 1 (May 1988); The SEC and the Courts' Approach to Disclosure of Earnings Projections, Asset Appraisals and Other Soft Information: Old Problems, Changing Views, 46 Md.
L. Rev. 1401 (1987), cited in Basic Inc. v. Levinson, 485 United States. 224 (1988); Confidential Relationships and Insider Trading, 18 Rev.
Secretary Reg. 135 (June 19, 1985). The Judiciary Considers the nature of Confidential Relationships in Insider Trading Cases - A Look at United States v. Reed, 13 Secretary Reg.
L. J. 128 (1985); Dirks v. SEC: A Study in Cause and Effect, 43 Md. L. Rev. 292 (1984). Adjunct Professor, Securities Law, Georgetown University Law Center, 1992.
Instructor, Civil Procedure, George Washington University Legal Assistant Program, Spring, 1987. Associate Director, March 1990-March 1994, Assistant Director, January 1985 to March 1990, Branch Chief, July 1981 to January 1985, Special Counsel, January 1981 to June 1981 and Staff Attorney, August 1978 to December 1980, United States Securities and Exchange Commission Division of Enforcement, Washington, D.C. Member, American Bar Association Task Force SEC Settlements. Member, Federal Regulations of Securities Committee, Business Law Section, American Bar Association.
Member: Advisory Board of the Securities Regulation Law Journal. (Washington, DC Office). O'Melveny & Myers LLP, founded over 110 years ago on January 2, 1885, is the oldest law firm in Los Angeles.
Since that time, we have grown from two attorneys in two rooms specializing in the local concerns of a frontier community to a firm of more than 500 lawyers involved in matters of regional, national and global concern.
Member, American Bar Association Task Force SEC Settlements. Member, Federal Regulations of Securities Committee, Business Law Section, American Bar Association. Member: Advisory Board of the Securities Regulation Law Journal.
(Washington, DC Office).