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“Physician-Controlled Network Joint Ventures: Antitrust Considerations,” 24 The Colorado Lawyer 1551 (1995)

“The 1992 Colorado Antitrust Act: Per Se Bid rigging and Key Issues,” 22 The Colorado Lawyer2229 (1993)

“Antitrust in the 1990s Part II: Who Needs An Antitrust Compliance Program Anyway,” Pendleton & Sabian, P.C., Legal Briefs (Apr. 1990)

“Antitrust in the 1990’s — Back to the Future or Forward to the Past,” Pendleton & Sabian, P.C., Legal Briefs (Jan. 1990)

“Point/Counterpoint, “New Antitrust Protection: Pro — Measures Protect Retail Competition,” The Denver Post, March 22, 1988, at 2D

“Colorado Antitrust Law Seven Years Later,” 13 The Colorado Lawyer 1808 (1984)

“Antitrust and Due Process: State Regulation of Occupation Licensing,” in Swords and Shields: An Antitrust Handbook for Municipal and Cooperative Utilities (1984)

“Colorado Antitrust Law Seven Years Later: Back on Course and Two-Thirds of the Way to the Big-Time,” National Association of Attorneys General (“NAAG”) Antitrust & Commerce Report(June 1984)

“Recent Significant Developments in ‘State Action’ and Noerr-Pennington Exemptions: From Boulder to the ‘Sham’ Exception,” 14 U. Tol. L. Rev. 531 (1983)

“City of Boulder Revisited,” NAAG Antitrust Report (October 1982)

“An Antitrust Enforcement Reply to the So-Called ‘Need’ for Contribution Legislation,” NAAG Antitrust Report (April 1982)

“Recent Federal Litigation Relating to Customer-Bank Communication Terminals (‘CBCTs’) and The McFadden Act,” 32 The Business Lawyer 1657 (1977)

“Off-Premises Customer-Bank Communication Terminals: New Growth on the Old ‘Branch’ Doctrine,” 6 The Colorado Lawyer 25 (1977)