
Gary D. Sesser
Publications
Publications Available on this website
- Art Buyers’ Due Diligence. Do You Own It Free and Clear?, Spencer’s Art Law Journal, September 1, 2010
- Compliance with U.S. Antibribery Laws, Client Advisory, June 1, 2009
- Madoff Securities Task Force Update: IRS Issues Helpful Guidance, Client Advisory, March 18, 2009
- Madoff Securities Task Force Update: March 4, 2009 Deadline, Client Advisory, January 8, 2009
- United States Antitrust Guidelines, Client Advisory, January 2009
- Madoff Securities Task Force, Client Advisory, December 30, 2008
- U.S. Department of Justice Analysis of Single-Firm Conduct, Client Advisory, September 9, 2008
- Supreme Court Validates Use of Broad U.S. Discovery in Aid of Foreign Proceedings, Client Advisory, June 22, 2004
- Creditors' Committee Prosecution of Avoidance Claims After Cybergenics: A Remedy But Not a Right, Journal of Bankruptcy Law and Practice, April 2004
Additional Publications
- "Persuasive Brief Writing," The Practical Litigator 17, 1990
- "Just Who's In Charge Here," Across The Board, July/August 1991
- "Choice of Law, Forum Selection, and Arbitration Clauses In International Contracts: The Promise and The Reality," 20 International Business Lawyer 397, September 1992
- "Internal Investigations and Professional Responsibility," 2 The Metropolitan Corporate Counsel 10, August 1994
- "Mediation Madness," 2 The Metropolitan Corporate Counsel 15, August 1994
- "Airline Deregulation: Lessons From The U.S. Experience," speech delivered at the 24th Biennial Conference of the International Bar Association, Cannes, France, Sept. 1992; reported in 63 BNA Antitrust & Trade Regulation Reporter 637, 639, 1992
Education
- B.A., 1972 Cornell University (magna cum laude)
- J.D., 1975 The University of Michigan Law School (cum laude)