Last updated on: 2/2/2009 6:45:00 AM PST
Insider Trading by Congress Home Page > Source Biographies > >Stephen Sibold, LLM
Stephen Sibold, LLM Biography |
Title: |
Former Chair and CEO of the Canadian Securities Administrators (CSA) |
Position: |
None Found to the question "Should Insider Trading by Congress Be Allowed?" |
Reasoning: |
No position found as of Aug. 12, 2008
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Theoretical Expertise Ranking: |
Experts Individuals with JDs, PhDs, or equivalent advanced degrees in fields relevant to insider trading issues. Also top-level government officials (such as foreign leaders, US presidents, Founding Fathers, Supreme Court Justices, members of legislative bodies, cabinet members, military leaders, etc.) with positions relevant to insider trading issues. |
Involvement and Affiliations: |
General Counsel, Bennett Jones LLP, Calgary, 2006-present Director, Calgary Olympic Development Association Sessional Instructor, Faculty of Law, University of Calgary Recipient, Outstanding Service Award, North American Securities Administrators Association, 2005 Chair & CEO, Canadian Securities Administrators (CSA), 2003-2005 Chair & CEO, Alberta Securities Commission (ASC), 2000-2005 Served, Council of Governors, Canadian Public Accountability Board, 2000-2005 Vice President & General Counsel, Canadian Airlines Corporation, 1996-2000 Appointed, Queen's Counsel, 2000 |
Education: |
LLM, University of California, Berkeley, 2008 ICD.D (Institute-Certified Director), Institute of Corporate Directors, 2006 LLB, Queen's University, 1976 BA, Queen's University, 1973 |
Other: |
Fulbright Scholar, University of California, Berkeley School of Law, 2007-2008 |
Quoted in: |
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