Background
Wolff, Samuel was born on October 25, 1956 in Little Rock, Arkansas, United States.
Wolff, Samuel was born on October 25, 1956 in Little Rock, Arkansas, United States.
London School of Economics, London, England. Brown University (Bachelor of Arts, magna cum laude, 1979). Georgetown University Law Center (Juris Doctor, 1982.
Master of Laws in Securities Regulation, 1983).
University of Wisconsin School of Law (Doctor of Juridical Science, 1995).
Worked at Akin, Gump, Strauss, Hauer & Feld, Limited liability partnership Admitted to the bar, 1982, Arkansas. 1989, District of Columbia.
1992, Colorado.
Company-Editor, International Capital Markets and Securities Regulation, Clark Boardman Callaghan. Company-Author: Securities and Federal Corporate Law, Clark Boardman Callaghan.
Emerging Trends in Securities Law, Clark Boardman Callaghan (six books in annual series).
Author: "Review of Global Offerings of Securities: Access to World Equity Capital Markets," 14 Wisconsin International"l. Lord Justice 236 (Fall 1995). "Recent Developments in International Securities Regulation," 23 Denv.
J. International"l L. & Policy
347 (Spring 1995). "Office-Shore Distributions Under the Securities Acting of 1933: An Analysis of Regulation South," 23 L. & Policy in International"l Business. 101 (Wint. 1991-1992).
"Securities Regulation in the European Community," 20 Denv. J. International"l L. & Policy 99 (Fall 1991).
"Trust Indenture Acting Reform: A Review of the Securities and Exchange Commission"s Proposal," 17 Secretary Regular
Lord Justice, 303 (Fall 1989). "A Study of Mexico"s Capital Markets and Securities Regulation," 20 Vand. J. Transnat"l L. 385 (1987).
Company-Author: "The Multijurisdictional Disclosure System and Cross-Border Offerings," 20 Denv.
J. International"l L & Policy 551 (Spring 1992). "Securities Regulation in Central Europe: Hungary and Czechoslovakia," 21 Denv.
J. International"l L. & Policy (1993). "The Securities Market and Regulation of Mexico," 19 Denv.
J. International"l L. & Policy 569 (Spring 1991).
Lecturer in Law, University of Denver College of Law, Spring 1992. Staff Attorney, Division of Corporation Finance, Securities and Exchange Commission, 1985-1988. Deputy Chief, Office of International Corporate Finance, Securities and Exchange Commission, 1988.