Background
Winer, Kenneth B. was born on February 23, 1957 in Pittsburgh, Pennsylvania, United States.
Winer, Kenneth B. was born on February 23, 1957 in Pittsburgh, Pennsylvania, United States.
University of Pennsylvania (Bachelor of Science, summa cum laude, 1978). Beta Gamma Sigma; Harvard University (Juris Doctor, cum laude, 1981).
Worked at Foley & Lardner. Admitted to the bar, 1981, District of Columbia. Author: "Responding to Probe of Finances-Insurers Need to Know What to do if Securities and Exchange Commission Comes Knocking," (Business Insurance-January 18, 1993).
"Anticipating and Responding to An Securities and Exchange Commission Inquiry," (The Review of Banking and Financial Services, January 13, 1993).
Company-author: "Duties, Responsibilities and Liability of Outside Professionals," Banks and Thrifts Regulatory Law, (Matthew Bender, 1991). "Liability of Accountants Foreign Audits of Savings & Loan Associations," The Review of Banking & Financial Services (1991).
"Anticipating and Responding to an Inquiry by the Securities and Exchange Commission Enforcement Divisions Working Group on Insurance Companies," (Insurance Litigation, December, 1992). "Ex Parte Contacts with Officers and Employees in Securities and Exchange Commission Investigations," 8 Insights 13 (Prentice Hall Law & Business, November 1994).
"When the Securities and Exchange Commission Comes Calling: A Step-by-Step Guide by Former Enforcers," 3 Business Law Today 13 (American Bar Association July/August 1994).
"Prompt Action Taken in Response to Securities and Exchange Commission Investigation May Ease Impact of Potentially Long, Burdensome Process," 9 BNA"s Corporate Counsel Weekly 8 (February 2, 1994). "Reducing the Liability Exposure of Derivatives Dealers," 27 The Review of Securities and Commodities Regulation 213 (December 1994). "Defending the Insider Trading Probe," 41 The Practical Lawyer 63 (September 1995).
Branch Chief, 1986-1988.
Senior Counsel, 1985-1986. Staff Attorney, 1984-1985, United States.
Securities and Exchange Commission, Division of Enforcement. Company-Chair: Task Force on Rule 102(e) of the Subcommittee on Civil Litigation and Securities and Exchange Commission Enforcement Matters of the American Bar Association Section of Business Law.
Vice Chair, Broker-Dealer Committee of the District of Columbia Bar.
I Member: The District of Columbia Bar.