Background
Lowenfels, Lewis D. was born on June 9, 1935 in New York, New York, United States.
Lowenfels, Lewis D. was born on June 9, 1935 in New York, New York, United States.
Harvard University (Bachelor of Arts, magna cum laude, 1957. Bachelor of Laws, 1961).
Worked at Tolins & Lowenfels, A Professional Corporation. Admitted to the bar, 1961, New New York Phi Beta Kappa. Company-Author: of Bromberg & Lowenfels "Securities Fraud and Commodities Fraud," Six volumes.
Author: "Implied Liabilities Based Upon Stock Exchange Rules," Columbia Law Review, January 1966.
"Pendent Jurisdiction and the Federal Securities Acts," Columbia Law Review, March 1967. "The Demise of the Birnbaum Doctrine: A New Era for Rule 10b-5," Virginia Law Review, 1968.
"Section 16(b): A New Trend in Regulating Insider Trading," Cornell Law Review, November, 1968. "Expanding Public Responsibilities of Securities Lawyers: An Analysis of the New Trend in Standard of Care and Priorities of Duties," Columbia Law Review, 1974.
"Recent Supreme Court Decisions under The Federal Securities Laws: The Pendulum Swings," Georgetown Law Journal, April, 1977.
"Securities Industry Arbitrations: An Examination and Analysis," Albany Law Review, 1989. "Securities Market Manipulations: An Examination and Analysis of Domination and Control, Frontrunning and Parking," Albany Law Review, 1991. "Broker-Dealer Supervision: A Troublesome Area," Seton Hall Law Review, 1994.
Adjunct Professor, Seton Hall University Law School, 1989.
Public Governor of the American Stock Exchange, 1993. Member: New York State and American (Member, Committee on Federal Regulation of Securities, Section on Corporation, Banking and Business Law, 1978) Bar Associations.
New York County Lawyers Association (Member, Committee on Securities and Exchanges, 1974).
Author: "Implied Liabilities Based Upon Stock Exchange Rules," Columbia Law Review, January 1966. "Pendent Jurisdiction and the Federal Securities Acts," Columbia Law Review, March 1967. "The Demise of the Birnbaum Doctrine: A New Era for Rule 10b-5," Virginia Law Review, 1968.
"Section 16(b): A New Trend in Regulating Insider Trading," Cornell Law Review, November, 1968. "Expanding Public Responsibilities of Securities Lawyers: An Analysis of the New Trend in Standard of Care and Priorities of Duties," Columbia Law Review, 1974. "Recent Supreme Court Decisions under The Federal Securities Laws: The Pendulum Swings," Georgetown Law Journal, April, 1977.
"Securities Industry Arbitrations: An Examination and Analysis," Albany Law Review, 1989. "Securities Market Manipulations: An Examination and Analysis of Domination and Control, Frontrunning and Parking," Albany Law Review, 1991. "Broker-Dealer Supervision: A Troublesome Area," Seton Hall Law Review, 1994.
Adjunct Professor, Seton Hall University Law School, 1989. Public Governor of the American Stock Exchange, 1993. Co-Author: of Bromberg & Lowenfels "Securities Fraud and Commodities Fraud," Six volumes.
Member: New York State and American (Member, Committee on Federal Regulation of Securities, Section on Corporation, Banking and Business Law, 1978) Bar Associations. New York County Lawyers Association (Member, Committee on Securities and Exchanges, 1974).