Background
Marmer, Ronald Louis was born on July 24, 1952 in Miami, Florida, United States. Son of Albert and Marian (Luhrs) Marmer.
Marmer, Ronald Louis was born on July 24, 1952 in Miami, Florida, United States. Son of Albert and Marian (Luhrs) Marmer.
Northwestern University (Bachelor of Science, with highest distinction, 1974. Master of Arts, 1974). University of Virginia (Juris Doctor, 1977).
Order of the Coif.
Notes Editor, Virginia Law Review, 1976-1977.
Worked at Jenner & Block (Chicago, Illinois) specializing in Civil Litigation, Securities Litigation, Real Estate Finance Litigation, Professional Liability Litigation. Admitted to the bar, 1977, Illinois. 1978, United States. District Court, Northern District of Illinois.
1979, United States.
Court of Appeals, Seventh Circuit. 1987, United States. District Court, Eastern District of Michigan and United States. Court of Appeals, Second Circuit.
Order of the Coif.
Notes Editor, Virginia Law Review, 1976-1977. Author: "Opinion Polls and the Law of Evidence," 62 Virginia Law Review 1101, 1976. "Preparing The Witness File," American Bar Association, 1990.
Company-Author: "Class Actions," Moore"s Federal Practice, Volume 5, Church
23, 3d ed, 1997; "Operating In The New World Of Securities Reform," Insights, 1996. "Securities Law, Special Problems of Insiders," Illinois Institute for Continuing Legal Education, 1996 Supplement.
"Soft Information Litigation In The State Courts: The Next Frontier," Fulcrum Information Services, Incorporated., 1996. "Defending Director and Officer Liability Litigation," American International Group Consultants, Incorporated., 1992.
"Potential Liability of Attorneys In Securities Transactions," American Bar Association, 1991.
"The Role of Litigation In Control Contests," The Corporate Analyst, 1989. "Developments In Insider Trading Under Rules 10B-5 and 14e-3," American Bar Association National Institute on Insider Trading, 1987. "The Use of Civil RICO in Securities Litigation," The Review of Securities and Commodities Regulation, Volume 18, 1985.
"Strategic Considerations for Civil Conspiracy Claims Under RICO," American Bar Association, 1983.
"Waiver of the Attorney-Client Privilege by Disclosure to Government Agencies," American Bar Association, 1983. "Hostile Tender Offers: Offensive and Defensive Litigation Strategies," American Bar Association, 1983.
"Preserving the Confidentiality of Legal Audits," American Bar Association, 1983. "Strategic Considerations for Civil RICO, Section 16(b), Special Litigation Committees and Settlements," American Law Institute-American Bar Association, 1983.
"Private Rights of Action for Violation of Proxy and Tender Rules," Practicing Law Institute, 1983.
"Developments Under Rules 10b-5 and 14e-3," Practicing Law Institute, 1982. "Fiduciary Duties of Board in Control Contests," Practicing Law Institute, 1982. Member: Chicago (Chairman, Securities Committee, 1995-1996.
Vice Chairman, Securities Committee, 1993-1995.
Chairman, Subcommittee on Professional Responsibility of Securities Lawyers, 1988-1990), Illinois State and American (Member, Sections on: Litigation, Company-Chair, Professional Liability Litigation Committee, 1995. Business Law, Vice Chair, Securities Litigation Subcommittee, 1993) Bar Associations.
American Law Institute. Chicago Council of Lawyers.
Member: Chicago (Chairman, Securities Committee, 1995-1996. Vice Chairman, Securities Committee, 1993-1995. Chairman, Subcommittee on Professional Responsibility of Securities Lawyers, 1988-1990), Illinois State and American (Member, Sections on: Litigation, Company-Chair, Professional Liability Litigation Committee, 1995.
Business Law, Vice Chair, Securities Litigation Subcommittee, 1993) Bar Associations.
American Law Institute. Chicago Council of Lawyers.