Background
Serota, James I. was born on October 20, 1946 in Chicago, Illinois, United States.
Serota, James I. was born on October 20, 1946 in Chicago, Illinois, United States.
Washington University (Bachelor of Arts, 1968). Northwestern University (Juris Doctor, cum laude, 1971).
Worked at Huber Lawrence & Abell (New York, New York) specializing in Litigation, Antitrust Law, Regulated Industries. Admitted to the bar, 1971, Illinois. 1978, United States. Supreme Court and District of Columbia.
1981, New New York
Senior Editor, Northwestern Law Review, 1970-1971.
Trial Attorney, United States. Department of Justice Antitrust Division, 1971-1977.
Recipient, Special Achievement Award, 1976. Company-Author: American Bar Association Antitrust Section, Monograph 9, "Refusals To Deal & Exclusive Distributorships," (1983).
"Criminal Antitrust Manual," American Bar Association Press 1983.
"Basic Antitrust Law," (Partito Liberale Italiano (Italian Liberal Party) 1994). "Increasing Competition in the Electric Utility Industry and Decreasing Consumer Welfare: An Antitrust Paradox," 64 Antitrust Law Journal 303 (1996). Contributing Editor: "Antitrust Foreign Business," (Federal Legal Publications 1989).
"Antitrust Law Developments," (4th Education 1997) American Bar Association Section of Antitrust Law.
Listed in "Who"s Who in American Law," 3d Education Et Seq. Member, Federal Bar Council.
Member: The Association of the Bar of the City of New York (Member, Antitrust and Trade Regulation Committee, 1988-1991). New York State (Member, Legislation Committee, Antitrust Law Section, 1984-1990) and American (Member: Criminal Practice and Procedure Committee, 1980.
Sherman Acting Committee, 1972-1983.
Insurance Industry Committee, Editor of Newsletter, 1983-1986. Vice-Chairman, 1986-1987 and Chairman, 1987-1990. Vice Chair, Program Committee, 1990-1991.
Annual Meeting Program Chair, 1991-1994.
Chair, Fuel and Energy Industry Committee, 1994-1997, Council, 1997, Section on Antitrust Law) Bar Associations.
Co-Author: American Bar Association Antitrust Section, Monograph 9, "Refusals To Deal & Exclusive Distributorships," (1983). "Criminal Antitrust Manual," American Bar Association Press 1983. "Basic Antitrust Law," (PLI 1994).
"Increasing Competition in the Electric Utility Industry and Decreasing Consumer Welfare: An Antitrust Paradox," 64 Antitrust Law Journal 303 (1996).
Member, Federal Bar Council. Member: The Association of the Bar of the City of New York (Member, Antitrust and Trade Regulation Committee, 1988-1991). New York State (Member, Legislation Committee, Antitrust Law Section, 1984-1990) and American (Member: Criminal Practice and Procedure Committee, 1980.
Sherman Acting Committee, 1972-1983.
Insurance Industry Committee, Editor of Newsletter, 1983-1986. Vice-Chairman, 1986-1987 and Chairman, 1987-1990.
Vice Chair, Program Committee, 1990-1991. Annual Meeting Program Chair, 1991-1994.
Chair, Fuel and Energy Industry Committee, 1994-1997, Council, 1997, Section on Antitrust Law) Bar Associations.