Background
Frankhauser, Mahlon M. was born on September 20, 1931 in Shillington, Pennsylvania, United States.
Frankhauser, Mahlon M. was born on September 20, 1931 in Shillington, Pennsylvania, United States.
Albright College (Bachelor of Arts, 1954). University of Pennsylvania Law School (Bachelor of Laws, 1957).
Worked at Kirkpatrick & Lockhart Limited Liability Partnership (Washington, District of Columbia) specializing in Securities Regulation, Securities Enforcement and Litigation, Futures and Development Product Regulation, Compliance Program Counseling, Employment Litigation. Admitted to the bar, 1958, District of Columbia. 1985, New New York
Author: "Reallocation of Securities Regulatory Authority Over Securities Registration and Broker-Dealer Regulation," The Investment Lawyer, Volume 4, Number.
2, February 1997.
"Pay-to-Play in the Muni Market," Controlling, Contributions, Volume 1, Number. 8, November 1996; "Arbitration: The Alternative To Securities and Employment Litigation," Volume 50, Number. 4, 1995, The BUsiness Lawyer.
"Chestman II," Volume 25, Number.
5, 1992; "Review of Securities and Commodities Regulation," Commodity Exchange Acting Amendments, Volume 25, Number. 22, December 1992. Attorney, Office of General Counsel, 1957-1962, Assistant Director, Division of Trading and Markets, 1962-1966, Administrator, New York Regional Office, 1966-1969, Securities and Exchange Commission.
Member: American Bar Association (Chair, Committee on Legislation, 1995. Chair, Committee on Futures Regulation, Business Law Section, 1989-1993.
Member, Task Force on Broker-Dealer Supervision and Compliance.
American Bar Association Committee on Federal Regulation of Securities, Report 1989, 44 The Business Lawyer. Member, Board of Editors and Advisor of Review of Securities and Commodities Regulation, Securities Regulation Law Journal and the Futures International Law Letter).
Member: American Bar Association (Chair, Committee on Legislation, 1995. Chair, Committee on Futures Regulation, Business Law Section, 1989-1993. Member, Task Force on Broker-Dealer Supervision and Compliance.
American Bar Association Committee on Federal Regulation of Securities, Report 1989, 44 The Business Lawyer.
Member, Board of Editors and Advisor of Review of Securities and Commodities Regulation, Securities Regulation Law Journal and the Futures International Law Letter).