Background
Stoppelman, John S. was born on April 18, 1944 in Wilmington, Delaware, United States.
Stoppelman, John S. was born on April 18, 1944 in Wilmington, Delaware, United States.
Duke University (Bachelor of Arts, Economics, 1966). Georgetown Law Center (Juris Doctor, 1969).
Worked at The Stoppelman Law Firm A Professional Corporation (McLean, Virginia) specializing in Accounting Malpractice Law, Corporate (Corporation) Financing Law, Securities and Exchange Commission Enforcement, Securities, Securities Litigation. Admitted to the bar, 1969, District of Columbia. 1970, Delaware; 1971, Colorado.
1977, Virginia.
Author: "Accountants and Rule 10b-5: after Hochfelder," The Journal of Accountancy, August, 1977.
"Hedging in Financial FuturesPrevention of a Blow Out, "Commodities Law Letter, Volume Number. 8, October, 1987; "Commodity Futures Trading Commission," Administrative Practice Manual of the Bar Association of the District of Columbia, Winter, 1983.
"How to Use A FOIA Violation To Enjoin an Agency Proceeding," National Law Journal, August 10, 1981. Law Clerk, Chancellor William Duffy and Vice Chancellor William Marvel, Delaware Chancery Court, Wilmington, Delaware, 1969-1970.
Colorado Deputy State Public Defender, 1971-1972.
Trial Attorney, Division of Enforcement, United States. Securities & Exchange Commission, 1972-1976. Chairman, American Bar Association Task Force on Securities and Exchange Commission Rules Relating to Investigations, Report published in The Business Lawyer, Volume 42 Number.
3, May 1987.
Member: The District of Columbia Bar. Virginia State Bar; American Bar Association (Member, Federal Regulation of Securities Committee, 1976. Vice Chairman, 1979-1989, Sub-Committee on South.E.C. Practice and Enforcement Matters).
Member: The District of Columbia Bar. Virginia State Bar; American Bar Association (Member, Federal Regulation of Securities Committee, 1976. Vice Chairman, 1979-1989, Sub-Committee on South.E.C. Practice and Enforcement Matters).