Archive

David Hoffmann

Practice Description

Mr. Hoffmann is a shareholder in the Family Law Section at QSLWM and is Board Certified in Family Law by the Texas Board of Legal Specialization.  He focuses his practice on helping individuals and families cope with the often trying issues associated with divorce, property division and child custody.  Mr. Hoffmann utilizes his extensive litigation experience in a manner designed to protect his clients’ interests while focusing on ensuring that the best interest of the children are protected throughout the process.

Representative Experience

Mr. Hoffmann has represented numerous clients in various family law matters in the Family Courts of Dallas County and Tarrant County as well as the District Courts of Collin County, Denton County, Ellis County, Kaufman County, Parker County and Rockwall County.  Family law issues Mr. Hoffmann has litigated include Divorce, Complex Property Division, Child Custody, Grandparent Access, Termination of Parental Rights, Adoption, Paternity, Child Support Enforcement, Possession and Access, and Family Violence.

Selected Publications, Seminars and Cases

2013 – Presenter at Dallas Volunteer Attorney Program presentation “Pro Bono Divorce”

2012 – Co-author “Contempt Enforcement — A primer for the new practitioner” presented at 2012 Advanced Family Law Boot Camp

2011- Presenter Support and Maintenance workshop for Half-Moon presentations in Dallas, Texas

2005 – Presenter “effective trial techniques”

Community Involvement, Affiliations and Memberships

Dallas Bar Assocation – Member

Dallas Association of Young Lawyers – Softball Committee Chairman/Commissioner (2008 – 2011)

White Rock YMCA – Board of Directors (2010 – 2014)

Awards and Honors

Annette Stewart American Inn of Court (2012)

“Rising Star” (Texas Monthly Magazine 2014)

2015 Texas Rising Star in Family Law (Super Lawyers/Texas Monthly)

2015 Top 10 Family Law Attorney Under 40 State of Texas (National Academy of Family Law Attorneys)

Board Certified Family Law by the Texas Board of Legal Specialization

Kenneth A. Hill

November 9, 2013

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Practice Description

Mr. Hill advises parties in business litigation matters involving contract disputes, receiverships, landlord-tenant issues, debt collection, deceptive trade practices, fraud, and other business disputes.

He works with companies and individuals in all aspects of bankruptcy matters under chapters 7, 11 and 13 of the Bankruptcy Code. Combines the highest standards of client service with extensive experience and legal expertise to provide excellent representation to every client every time.

Representative Experience

Nineteen years of experience representing a wide array of businesses and individuals in business litigation and bankruptcy matters.

Recovered damages on leases and secured financing transactions for several banks and finance companies.

Recovered delinquent receivables for a national aviation company.

Represented the franchisee of several fast food restaurants in an orderly business liquidation under chapter 11 of the Bankruptcy Code.

Represented a financing company defending a multi-million dollar fraudulent transfer claim arising out of a bankruptcy case.

Represented individuals in a federal lawsuit against a local television station for violations of federal and state wiretap laws.

Selected Publications, Seminars and Cases

Goodspeed v. Harman, 39 F.Supp.2d 787 (N.D. Tex. 1999)

Peavy v. Harman, 37 F.Supp.2d 495 (N.D. Tex. 1999)

Peavy v. WFAA-TV, Inc., 221 F.3d 158 (5th Cir. 2000)

Bailey v. Sorenson Laboratories, Inc., 217 B.R. 523 (Bankr. E.D. Tex. 1997)

Awards & Honors

AV ® PREEMINENT Martindale-Hubbell rating

Michael Feiler

November 9, 2013

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Practice Description

Mr. Feiler helps clients in a variety of litigation matters including commercial and construction disputes, along with complex insurance litigation, coverage disputes and rescission actions (especially involving fidelity and surety bonds), and the defense of insureds in a variety of business, property, and personal injury claims. Although primarily on the defense side, his practice includes representation of plaintiffs in complex insurance and commercial litigation, and employment-related claims.

Representative Experience

Representation primarily on defensive side, but also represents plaintiff-insurers in coverage disputes.

Speaker at national programs related to fidelity and surety law.

Selected Publications, Seminars and Cases

Timing is Everything, Except When it Isn’t: The Notice/Prejudice Rule and Its Effect on Fidelity Bond Claims, American Bar Association, Tort Trial & Insurance Practice Section, Fidelity and Surety Law Committee (author and speaker)
(New York, Jan. 27, 2012).

You Can’t Ask That! Asserting Work Product Protection for Deposition Preparation Materials,
20 The Brief, No. 2 (ABA Winter 2011).

Co-Author, When is a Material Change Really Material?, 13th Annual Gulfcoast Fidelity & Surety Institute
(Boca Grande, June 2-5, 2011).

Ponzi Schemes: Claims, Coverage Issues and Quantification of Losses, Surety Claims Institute (author and speaker)
(Cape Cod, MA, June 24-26, 2009).

Contributing Author, The Attorney-Client Privilege and the Work Product Doctrines – The Boundaries of Protected Communications Held By Insureds and Insurers, XIV Fidelity Law Journal
(Michael Keeley and Martha L. Perkins, eds. October 2008).

Co-Author, Voiding A Policy Obtained By Fraud, Other Than Through Normal Rescission, 10th Annual Gulf Coast Fidelity and Surety Institute (May 29 – June 1, 2008).

Contributing Author, Loan Loss Coverage Under Insuring Agreement (A), in Loan Loss Coverage Under Financial Institution Bonds (Gilbert J. Schroeder and John J. Tomaine, eds., ABA 2008).

Co-author, Construction and Surety Law, Annual Survey, 61 SMU Law Review 705 (2008).

Thornburg Insulation, Inc. v. J.W. Terrill, Inc., The Missouri Court of Appeals Correctly Interprets Standard-Form
Commercial Crime Policy Definition of “Occurrence”, Fidelity Law Assoc. Newsletter (Jan./Feb. 2008).

Co-author, Construction and Surety Law, Annual Survey, 60 SMU Law Review 839 (2007).

Co-author, Construction and Surety Law, Annual Survey, 59 SMU Law Review 1079 (2006).

Cynthia Dunn Raibourn

November 9, 2013

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Practice Description

Exclusively in the area of Family Law for over 15 years. Handles all cases impacting children and families, including divorce, pre- and post-nuptial agreements, modifications of Texas and out-of-state orders, custody, child support, enforcement, paternity, termination and adoption.

Representative Experience

Texas Academy of Family Law Specialists

Representation of clients across the State of Texas, including in the following counties – Dallas, Tarrant, Collin, Denton, Rockwall, Kaufman, Van Zandt, Henderson, Montague, Wise, Parker, Johnson, Leon, Harris, Travis, Bexar, and Hidalgo

Selected Publications, Seminars and Cases

Dallas Bar Association, Family Law Section, Case Law Updates | Legislative Updates

Guest Lecturer, University of Dallas – “Consent Issues in the Treatment of Minors”

National Business Institute -“Domestic Law in Texas,” “Tax Aspects of Divorce in
Texas” and “Family Law Litigation in Texas”

Advanced Family Law Course, State Bar of Texas -“Walking the High Wire Without a
Net -The Ad Litem’s New Balancing Act”

Speaker, Parker Chiropractic College -“Treatment of Minors”

Speaker, Irving Christian Counseling Center -“Consent Issues in the Treatment of Minors”

Awards & Honors

Texas Super Lawyers, 2004-2007, published by Texas Monthly magazine

AV ® PREEMINENT Martindale-Hubbell rating

W. Edward Carlton

November 9, 2013

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Practice Description

Mr. Carlton’s business and litigation practice currently focuses on providing consultation and representation to insurance carriers and policy-holders in numerous areas of insurance coverage; and defending insurers, self-insureds and third-party administrators against claims of insurance bad faith. He also maintains a commercial litigation practice representing self-insured employers, construction companies, contractors, and other business entities.

Representative Experience

Provided insurance coverage opinions, counsel and representation in disputes and litigation involving commercial general liability, professional liability, commercial property, environmental, workers’ compensation/employers’ liability and commercial umbrella liability policies.

Represented national primary and excess insurance carriers and third-party administrators in high exposure coverage and extra-contractual “bad faith” litigation.

Represented business clients in disputes involving insurance brokers, agents, carriers, third-party administrators, claims representatives and self-insureds.

Defended national construction companies, contractors and professional employer organizations in suits involving alleged construction defects and catastrophic damages and injuries.

Selected Publications, Seminars and Cases

The Challenge of Integrated Data and Information Management when Splitting the Claim File, Insurance Bad Faith & Coverage Conference, Claims & Litigation Management Alliance, New York, New York (2014).

To Split or Not to Split: Avoiding Bad Faith when Defense and Coverage Collide, Annual Conference, Claims & Litigation Management Alliance, Boca Raton, Florida (2014).

Preparing the Company Witness for a Bad Faith Deposition, Insurance and Bad Faith Coverage Conference, Claims & Litigation Management Alliance, Atlanta, Georgia (2014).

Proven Methods to Avoid “Wasting” a Policy When There are Multiple Investigations and Competing Demands, American Conference Institute’s 25th National Advanced Forum on Bad Faith Litigation, San Francisco, CA (2013)

Claim Manuals and Training Materials: How to Address Them During Discovery and Trial, Insurance Bad Faith and Extra-Contractual Liability, DRI, Boston, MA (2013)

Insurance Bad Faith – Getting Lean in Big Litigation: A New Way to Workout, Annual Conference, Claims & Litigation Management Alliance, San Antonio, TX (2013)

SIR’s, Settlement in Excess of Verdicts: When the Finger Pointing Starts, Fraud-Bad Faith-Coverage Conference, Claims & Litigation Management Alliance, Orlando, FL (2013)

Avoiding Bad Faith When Litigating Questionable Coverage: Reservation of Rights, Declaratory Judgement Actions, Partially Covered Claims and Additional Insured Issues, American Conference Institute’s 23rd Annual National Forum on Bad Faith Litigation, Orlando, FL (Nov. 2012)

The Insurer’s Right to Intervene – And other Problems When the Insured Assigns its Bad Faith Claims, Insurance and Bad Faith Coverage Conference, Claims & Litigation Management Alliance, Boston, MA (2012)

Duty of Good Faith: Insurance Claims Practices, Gallhager Basset, Sedgwick, Tri-Star, Travelers, Broadspire (2010)

Shifting the Risks: Selected Avenues of Risk Management in Texas Contractual Relationships, Texas Association of Defense Counsel (2010)

Duty of Good Faith and Fair Dealing: Insurance Claims Practices, Hartford Ins., ESIS (2009)

Fundamentals of Litigation Management, Counsel on Litigation Management (2009)

Case Assessment and Evaluation, Council on Litigation Management (2009)

Duty of Good Faith/Insurance Code Litigation: A Utilization Review Perspective, Hartford Ins. (2009)

Duty of Good Faith/Texas Insurance Code Litigation: Case Development, Hartford Ins. (2008)

Duty of Good Faith and Fair Dealing; A Claims Handling Perspective. Gallagher Basset (2007)

Defending Non-Subscriber Cases, Workers’ Comp Publication Seminar (2006)

Coverage Issues in Nursing Home Claims, DRI Insurance Coverage and Claims Institute (2006)

Twin City Fire Insurance Company v. Davis, 904 S.W.2d 663 (Tex. 1995)

Community Involvement, Affiliations and Memberships

Member, Defense Research Institute (Insurance Law Committee, 2003-present; SIU/Fraud Subcommittee Co-Chair, 2014; Board of Directors, 2014) (Commercial Litigation Committee, 2006-present)

Member, Texas Association of Defense Counsel (Board of Directors, 1999-2005;
Dallas Area Vice-President, 2002-2005)

Member, State Bar of Texas (Tort and Insurance Law Committee)

Member, Risk and Insurance Management Society, Inc. (2010-2012)

Member, Counsel for Litigation Management (Bad Faith Committee, 2009-present; eDiscovery & ESI Committee, 2013-present)

Awards & Honors

AV ® PREEMINENT Martindale-Hubbell rating

Charles F. Baum

November 9, 2013

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Practice Description

Mr. Baum runs a diverse financial institution and transactions-oriented practice. Handles work-outs, mortgage related litigation, commercial and residential foreclosures, collections, real estate purchase and sale, landlord-tenant, creditors’ and trustees’ rights in bankruptcy, asset and business purchase and sale, and general real estate, mortgage lending, corporate, and title curative matters.

Representative Experience

Handled and/or closed over 500 commercial foreclosures, REO/ORE purchase and sale transactions and commercial workout matters.

Acted as lead counsel in over 100 bankruptcy adversary proceedings.

Represented financial institutions in over 100 title, lien priority, or lien perfection matters.

Resolved over 5,000 mortgage banking litigation matters.

Represented Chapter 7 trustee in liquidation of six mortgage companies.

Served as in-house counsel for two major mortgage lenders.

Represented buyers and sellers of commercial real estate and associated entities.

Assisted buyers and sellers of assets and operating businesses.

Selected Publications, Seminars and Cases

“When Tenant Files Bankruptcy During Eviction” – Sterling Education Services, Inc. (2004)

“ Residential Eviction and Trial” – Sterling Education Services, Inc. (2004)

In re Harbor Financial Group, Inc. 303 B.R. 124 (Bankr. N.D. Texas 2003)

Awards & Honors

AV ® PREEMINENT Martindale-Hubbell rating