Elliott Cowan

Member
T: 410-576-4108
F: 410-576-4032

Elliott Cowan is Chairman of the Firm's Business Law Practice Group.  He has developed a broad-based business law practice, including complex commercial transactions; corporate, limited liability company and partnership law; the purchase and sale of businesses and commercial real estate; mergers and acquisitions; contract negotiation and drafting; secured lending transactions; new business ventures; entity formation; business “divorces" and restructurings; stockholder and other owner agreements; employment, independent contractor and consulting agreements; non-compete agreements; licensing and protection of intellectual property; marital property settlement agreements; and representation of all sectors of the health care industry from the solo practitioner to hospitals and health systems.

Elliott uses his broad-based business law experience to serve as general counsel to a number of substantial business clients.

Elliott's public service has included pro bono representation of, and service on the boards of directors of, charitable, civic and other tax-exempt organizations.   He has served as chairman of the board of a non-profit nursing home in Ellicott City, Maryland; as an officer and director of a non-profit arts organization in Baltimore City, Maryland; and as president and a director of a non-profit school in Columbia, Maryland.

Prior to joining Gordon, Feinblatt, Elliott served as an Attorney-Advisor for the U.S. Securities and Exchange Commission in Washington, D.C., Division of Market Regulation, where he participated in the oversight of the rapidly evolving clearance and settlement system which serves the U.S. securities markets.

Honors

AV Rating in Martindale-Hubbell

Professional and Civic Involvement

  • Member, American Bar Association
  • Member, Maryland State Bar Association
  • Trustee, Vice President and General Counsel, Maryland Art Place, Inc., (1995-2002)
  • Director and Board Chair, Bon Secours Nursing Care Center, (1992-1994)

Publications and Lectures

  • Author: "Protecting Proprietary Rights In Software," The Business Monthly, January 2001.
  • Co-Author: "The Aftermath of Dean Witter - The Need to Resolve the Arbitration Debate," January 6, 1986
  • "Integration of Securities Offerings - A Trilogy of Recent SEC Pronouncements," June 10, 1986
  • "Financial Planning Activities May Require Registration," October 17, 1986
  •  "A Potpourri of Recent Significant Securities Matters," March 17, 1987
  • "Supreme Court Favors Arbitration of Rule 10b-5 Claims," July, 1987
  • "SEC Amends Reg. D and Proposes New Substantial Compliance Defense," March, 1988
  • "Parts of Broker's Employment Contract May Not Hold Up In Court," June, 1989
  • "Supreme Court Clarifies When Note is not a Security," March, 1990
  • “New Medical Practices – S Corp or LLC?”, November 8, 2007
  • "Ohio Case Explores Fiduciary Duties in Hospital," April 18, 2008
  • “Boards of Non profits Must Police Their Own Members,” July 23, 2008
    All published in The Daily Record

Focus of Practice

Education

  • J.D., University of Maryland School of Law, 1982
  • Diploma in European Integration, University of Amsterdam, 1983
  • B.A., Oberlin College, 1979

Bar Admissions

  • Maryland, 1983
  • District of Columbia, 1984