Background
Briol, Mark J. was born on November 26, 1953 in Saint Cloud, Minnesota, United States.
Briol, Mark J. was born on November 26, 1953 in Saint Cloud, Minnesota, United States.
University of Minnesota (Bachelor of Arts, summa cum laude, 1976). William Mitchell College of Law (Juris Doctor, magna cum laude, 1981).
Card v. Stratton Oakmont, Incorporated., 933 F.Supp. 806 (Doctorate.Minn 1996); In re Piper Funds, Incorporated., Institutional Government Income Portfolio Litigation, 71 F.3d 298 (8th Circuit 1995); Holmes v. Delta Casino Corporation, 41 F.3d 1251 (8th Circuit 1994); Hayne, Miller & Farni Incorporated. v. Flume, 888 F.Supp. 949 (East.D. Wisconsin 1995); Young v. Kennedy, Mathews, Landis, Healy & Pecora, Incorporated., 524 North.W.2d 752 (Minnesota Appendix 1994); Clark v. Growe, 461 North.W.2d 385 (Minnesota 1990); Sprangers v. Fundamental Business Technologies, Incorporated., 412 North.W.2d 47 (Minnesota Appendix 1987).Worked at Briol & Associates (Minneapolis, Minnesota) specializing in Commercial and Securities Litigation, Arbitration. Admitted to the bar, 1981, Minnesota. United States. District Court, District of Minnesota.
United States.
Court of Appeals, Seventh and Eighth Circuits. Phi Beta Kappa; Phi Kappa Phi. Listed in: Best Lawyers in Minnesota, Securities and Venture Finance Law, 1994/1996.
1997.
Member of National Board of Governors, Public Investors Arbitration Bar Association, 1990-1992. Member of Hennepin County District Ethics Committee, 1986-1989, 1993 . Editor, The Hennepin Lawyer, Volume 58/Number.
6, 1989.
The Hennepin Lawyer, Volume 57/Number. 1, 1987. Assistant Editor, The Hennepin Lawyer, Volume 56/Number. 6, 1987; The Hennepin Lawyer, Volume 56/Number.
1, 1986.
Author: "Securities and the Internet--A Comprehensive Directory," First Annual Conference on Law Practice Technology, 1996. "Securities Issues in the Gaming Industry--Something More than a Gamble," Minnesota Institute of Legal Education, 1996. "National Association of Securities Dealers Arbitration Reform-One Step Closer to the Courthouse," Minnesota Institute of Legal Education, 1996.
"Changing Times, Professionalism and Fiduciary Responsibilities in the Financial Services Industry," The Hennepin Lawyer, Volume 64/Number.
3, 1995; "Securities Arbitration: Cradle to Grave, The Claimant"s Perspective," Securities Arbitration, Disciplinary Actions and Regulatory Enforcement, Minnesota Institute of Legal Education, 1995. "Liability of Financial Planners," The Footnote, Volume 46/Number.
1, 1994 (Published by Minnesota Society of Certified Public Accountants). "Employee Retirement Income Security Act Fiduciaries: Rights, Wrongs and Responsibilities," The Hennepin Lawyer, Volume 64/Number.
1, 1993; "A Claimant"s "How To" Kit in Securities Arbitration," Minnesota Institute of Legal Education, 1993.
"Securities Arbitration, A Return to Frontier Justice", The Hennepin Lawyer, Volume 60/Number. 3, 1991; "Soft Information and Fraud on the Market: The Creation of New Problems for Minnesota Corporations," The Hennepin Lawyer, Volume 60/Number. 1, 1990; "Trying the Claimant"s Case in Securities Arbitration," Minnesota Institute of Legal Education, 1990.
"Liability of Financial Planners," Minnesota Continuing Legal Education, 1990.
"Liability of Financial Planners: New Problems for Stockbrokers, Insurance Agents, Bankers, Accountants, and Lawyers," The Hennepin Lawyer, Volume 59/Number. 1, 1989; "A Requiem for Shareholders" Derivative Litigation in Minnesota, Special Litigation Committees," The Hennepin Lawyer, Volume 58/Number.
3, 1989. "An Update on Arbitration and Mediation in Hennepin County," The Hennepin Lawyer, Volume 57/Number.
4, 1988; "Liability of Financial Planners," Third Annual Lying, Cheating and Stealing Seminar, Minnesota Institute of Legal Education, 1987. "In Search of Coverage, Understanding Officers" and Directors" Liability Insurance", The Hennepin Lawyer, Volume 55/Number.
5, 1986. "Directors" and Officers" Liability," Minnesota Continuing Legal Education, 1986.
Seminars/Lectures: "Hearing Role-Play, Elements of a Claim & Defenses in Securities Arbitration," National Association of Securities Dealers Regulation, Incorporated. Securities Conference, Washington, District of Columbia, 1997.
"Securities and the Internet," First Annual Conference on Law Practice Technology, 1996. "Securities Law--Arbitration, Litigation and Mediation," Minnesota Institute of Continuing Legal Education, Course Chair, 1996.
"Securities Law for Non-Securities Lawyers," Minnesota Institute of Legal Education, 1996.
"Securities Arbitration, Disciplinary Actions and Regulatory Enforcement," Minnesota Institute of Continuing Legal Education, Course Chair, 1995. "Responsibility of Benefit Plan Fiduciaries," Liability for Benefits and Pension Plan Insolvency: Attorneys, Agents, Administrators, Advisors, Brokers, Consultants, Managers and Trustees, University of Minnesota School of Business, 1994. Financial Planner Liability," The 12th Annual Estate and Personal Financial Planning Conference, Minnesota Society of Certified Public Accounts, 1994.
"Employee Retirement Income Security Act Claims, Strategies, Triumphs, and Defeats from a Litigants" Perspective," Employee Benefits and Executive Compensation Institute, Minnesota Continuing Legal Education, 1994.
"When Insurance Becomes A Security," Minnesota Continuing Legal Education, 1993. "The Liability Jungle, Are you Afraid of Being Sued?", Minnesota Society of Certified Financial Planners, 1993.
"Securities Dispute Resolution," Minnesota Institute of Legal Education, 1993. "Estate and Personal Financial Planning Conference," Minnesota Society of Certified Public Accountants, 1993.
"Why Brokers Are Sitting Ducks for Lawsuits," Securities Litigation Risk Management Conference, 1991.
"Liability of Financial Planners," Minnesota Society of Certified Public Accountants, 1991. "Securities Arbitration, Doing lieutenant With Style and Substance," Minnesota Institute of Legal Education, Course-co-chair, 1990. "Liability of Financial Planners," Minnesota Continuing Legal Education, 1990" "Liability of Financial Planners," Third Annual Lying, Cheating & Stealing Seminar, Minnesota Institute of Continuing Legal Education, 1987.
"Directors" and Officers" Liability," Minnesota Institute of Continuing Legal Education, 1987.
"Officers" and Directors" Liability Insurance," Minnesota Institute of Legal Education, 1987. "Officers" and Directors" Liability," Minnesota Continuing Legal Education, 1986.
Member: Hennepin County and Minnesota State Bar Associations.
Member: Hennepin County and Minnesota State Bar Associations.