Partner, Co-chair of the Litigation & Trial Practice Group, Alston & Bird LLP
Adam Biegel is co-chair of Alston & Bird’s Litigation & Trial Practice Group and former co-chair of its Antitrust Team. He has substantial experience representing clients on antitrust counseling and litigation matters, including those involving government and internal investigations, mergers and joint ventures, pricing and distribution, compliance counseling and training, pre-merger reviews under the Hart-Scott-Rodino (HSR) Act, and multidistrict litigation. He regularly represents clients before the U.S. Department of Justice (DOJ) Antitrust Division, Federal Trade Commission (FTC) and state attorneys general, and in federal courts.
Adam is recognized for his antitrust experience by Chambers USA and selected to The Best Lawyers in America®, including his recognition as “Lawyer of the Year” for Antitrust Litigation in Washington, D.C., in 2022. He is a longtime member of the American Bar Association Antitrust Law Section’s leadership, currently serving as co-chair of its In-House Counsel Task Force and previously having served on its board, and chaired its Corporate Counseling Committee, Long Range Planning Committee, and Spring Meeting conference. He also serves on the board of the Federalist Society’s antitrust practice group.
Adam served as a law clerk to the Hon. Frank M. Hull, U.S. Court of Appeals for the Eleventh Circuit. Before attending law school, he worked as a newspaper reporter in Arkansas and on the legislative staff of U.S. Senator Orrin Hatch.
Partner in the Antitrust & Competition Practice Group, Sheppard Mullin
John’s practice focuses on civil and criminal antitrust matters, including mergers & acquisitions, strategic counseling and compliance, and global cartel investigations, where he represents clients before the Department of Justice Antitrust Division, Federal Trade Commission, and international and state antitrust enforcement authorities.
Prior to private practice, John was in the Mergers I Division of the Federal Trade Commission’s Bureau of Competition for several years. While with the FTC, he investigated, challenged, and negotiated settlements in a number of potentially anti-competitive business combinations in the aerospace, technology, consumer products, defense, healthcare, and pharmaceutical industries and received an Award for Meritorious Service for work on merger litigation.
John frequently speaks and writes on antitrust issues. He was the lead editor on the American Bar Association, Section of Antitrust Law’s Energy Antitrust Handbook, and has held leadership positions in that organization.
Partner, Boies Schiller Flexner LLP
Rich’s primary practice area is complex litigation, with a particular emphasis on antitrust matters. He frequently represents plaintiffs and defendants in private litigation, in addition to representing parties and third parties in the context of DOJ, FTC, and State Attorney General investigations and litigation. He also advises clients regarding transactions—both their own and those of others—including mergers or acquisitions that may be subject to review by federal, state, or international antitrust authorities. His experience includes both criminal and civil antitrust jury trials, and he is relied upon by clients for clear and practical guidance shaped by years of experience in antitrust enforcement and private practice.
Rich rejoined the firm in December 2013 after serving for four years as the Director of the Bureau of Competition at the Federal Trade Commission. He directed the FTC’s antitrust enforcement activity during a period when approximately 80 enforcement actions were initiated in a wide variety of industries. Major matters included, among others, two victories in the Supreme Court (involving pay-for-delay and state action), successful challenges to hospital mergers, and Intel and Google consent orders. He also participated directly in drafting and implementing the 2010 Horizontal Merger Guidelines.
Prior to serving as Bureau Director, Rich was a partner in the firm’s Washington D.C. office from 2001 to 2009. From October 1998 to June 2001, he served as an Assistant Director of the Bureau of Competition, in charge of the Health Care Services and Products Division. The work of that Division focused on antitrust enforcement in the health care industry, including anticompetitive practices and mergers involving health care providers, and anticompetitive conduct in the pharmaceutical industry.
Before initially entering private practice in 1985, Rich worked as a trial attorney in the Antitrust Division of the U.S. Department of Justice, and also served as Acting Deputy Director of the Division’s Office of Policy Planning and as Acting Assistant Chief of the Division’s Energy Section.
Research Manager, American Economic Liberties Project
Laurel manages AELP’s team of policy analysts and coordinates with expert advisors and fellows to develop original research and policy briefs. An experienced attorney, she also frequently writes and speaks about high profile court cases that impact the economic liberties of the American people.
In private practice, Laurel represented firms of all sizes– from startups to Fortune 500 companies– spanning a wide variety of industries, from software to generic pharmaceuticals to semiconductors. At Comar Mollé LLP, a boutique firm that specializes in serving startups and investors, she provided strategic counseling on employment, privacy, and transactional matters. At Goodwin Procter LLP, a global biglaw firm, she litigated high stakes patent and complex commercial disputes and counseled clients on technology transactions.
Before joining AELP, Laurel researched competition policy issues for the Balanced Economy Project in Europe. Earlier in her career, she analyzed legislation promoting access to essential medicines at the World Health Organization, coordinated patent law training workshops for Vietnamese research institutions through the Public Intellectual Property Resource for Agriculture, and developed public outreach materials for the American Association for the Advancement of Science. She has also developed and taught courses on topics ranging from legal practice skills to emerging policy issues.
Partner, Global Chair, Antitrust and Competition, Fried Frank
Bernard A. Nigro Jr. (“Barry”) is Global Chair of Fried Frank's Antitrust and Competition Department. Barry previously served as the Department of Justice’s Principal Deputy Assistant Attorney General for Antitrust and the Federal Trade Commission’s Deputy Director for the Bureau of Competition.
During his almost 40 years of practice and government service, Barry has handled hundreds of civil and criminal matters in dozens of industries ranging from concrete to high tech and everything in between. For example, Barry has been involved in some of the largest M&A transactions during the past decade, served as the antitrust compliance monitor in United States v. Apple Inc. (S.D.N.Y. 2013), worked on a variety of cartel matters, and counseled on complex compliance and litigation matters. While in government, Barry supported the rollout of the Procurement Collusion Strike Force, an initiative to modernize the merger review process, and revisions to the merger guidelines and remedies policies.
Barry is recognized as a leader by Chambers USA: America’s Leading Lawyers for Business, a “Leading Lawyer” by Legal 500 in Antitrust: Merger Control, and a “Global Leader” by Who’s Who Legal: Competition. Clients say "Barry is very adept at getting deals across the finish lines. He knows the inside game very well," “he is a skilled and knowledgeable antitrust lawyer with a very practical approach,” and “knows how to marry business and antitrust.” Other clients describe him as “the rare combination of DOJ and FTC expertise that is invaluable to clients who need to understand the agencies’ latest thinking” and note that “his decades of experience generally, and recent experience as the number-two lawyer in the Antitrust Division, make him a knowledgeable and skilled counselor on a broad array of government enforcement matters.” Clients say he is “fabulous” and “figures out quickly what’s important and focuses energies there.” Clients also report that “[n]o one compares to Barry Nigro in terms of goodwill” and note his “years of experience make his counsel and perspective, particularly seeing what is coming down the road, exceptional.”
Barry’s commitment to public service includes having served as Vice Chair of the American Bar Association’s Section of Antitrust Law (numbering over 10,000 members from across the globe), President of the George Washington University Law Alumni Association, a member of the Executive Committee of Higher Achievement’s DC President’s Council, a member of St. Albans School’s Development Committee, a member of Bishop Ireton High School’s Campaign Leadership Committee, and a member of Georgetown University’s Class of 1982 Executive Committee, among many other roles.
Alexander Hamilton Professor of Business Law, George Washington University Law School
Barak Richman’s primary research interests include the economics of contracting, new institutional economics, antitrust, and healthcare policy. His work has been published in the Columbia Law Review, the University of Pennsylvania Law Review, Law and Social Inquiry, the New England Journal of Medicine, the Journal of the American Medical Association, and Health Affairs. In 2006, he co-edited with Clark Havighurst a symposium volume of Law and Contemporary Problems entitled "Who Pays? Who Benefits? Distributional Issues in Health Care,” and his book Stateless Commerce was published by Harvard University Press in 2017.
Professor Richman represented the NFL Coaches Association in an amicus curiae brief in American Needle v. The Nat’l Football League, which was argued before the U.S. Supreme Court in January 2010 and again in Brady v. The Nat’l Football League in 2011. His recent work challenging illegal practices by Rabbinical Associations was featured in the New York Times. And in 2020, he was a member of the Working Group on Platform Scale at Stanford University’s Program on Democracy and the Internet that proposed middleware as a solution to stem the economic and political power of dominant internet platforms.
Professor Richman is also a Senior Scholar at the Clinical Excellence Research Center at the Stanford University School of Medicine and is currently a special counsel for competition policy at the Department of Health and Human Services. He won Duke Law School's Blueprint Award in 2005 and was named Teacher of the Year in 2010. He has had visiting appointments at Columbia, Harvard, and Stanford.
Professor Richman has an AB, magna cum laude, from Brown University, a JD, magna cum laude, from Harvard Law School, and a PhD from the University of California, Berkeley, where he studied under Nobel Laureate in Economics Oliver Williamson. He served as a law clerk to Judge Bruce M. Selya of the United States Court of Appeals for the First Circuit, and from 1994-1996 he handled international trade legislation as a staff member of the United States Senate Committee on Finance, then chaired by Senator Daniel Patrick Moynihan
Partner, Co-chair of the Litigation & Trial Practice Group, Alston & Bird LLP
Adam Biegel is co-chair of Alston & Bird’s Litigation & Trial Practice Group and former co-chair of its Antitrust Team. He has substantial experience representing clients on antitrust counseling and litigation matters, including those involving government and internal investigations, mergers and joint ventures, pricing and distribution, compliance counseling and training, pre-merger reviews under the Hart-Scott-Rodino (HSR) Act, and multidistrict litigation. He regularly represents clients before the U.S. Department of Justice (DOJ) Antitrust Division, Federal Trade Commission (FTC) and state attorneys general, and in federal courts.
Adam is recognized for his antitrust experience by Chambers USA and selected to The Best Lawyers in America®, including his recognition as “Lawyer of the Year” for Antitrust Litigation in Washington, D.C., in 2022. He is a longtime member of the American Bar Association Antitrust Law Section’s leadership, currently serving as co-chair of its In-House Counsel Task Force and previously having served on its board, and chaired its Corporate Counseling Committee, Long Range Planning Committee, and Spring Meeting conference. He also serves on the board of the Federalist Society’s antitrust practice group.
Adam served as a law clerk to the Hon. Frank M. Hull, U.S. Court of Appeals for the Eleventh Circuit. Before attending law school, he worked as a newspaper reporter in Arkansas and on the legislative staff of U.S. Senator Orrin Hatch.
Partner in the Antitrust & Competition Practice Group, Sheppard Mullin
John’s practice focuses on civil and criminal antitrust matters, including mergers & acquisitions, strategic counseling and compliance, and global cartel investigations, where he represents clients before the Department of Justice Antitrust Division, Federal Trade Commission, and international and state antitrust enforcement authorities.
Prior to private practice, John was in the Mergers I Division of the Federal Trade Commission’s Bureau of Competition for several years. While with the FTC, he investigated, challenged, and negotiated settlements in a number of potentially anti-competitive business combinations in the aerospace, technology, consumer products, defense, healthcare, and pharmaceutical industries and received an Award for Meritorious Service for work on merger litigation.
John frequently speaks and writes on antitrust issues. He was the lead editor on the American Bar Association, Section of Antitrust Law’s Energy Antitrust Handbook, and has held leadership positions in that organization.
Partner, Boies Schiller Flexner LLP
Rich’s primary practice area is complex litigation, with a particular emphasis on antitrust matters. He frequently represents plaintiffs and defendants in private litigation, in addition to representing parties and third parties in the context of DOJ, FTC, and State Attorney General investigations and litigation. He also advises clients regarding transactions—both their own and those of others—including mergers or acquisitions that may be subject to review by federal, state, or international antitrust authorities. His experience includes both criminal and civil antitrust jury trials, and he is relied upon by clients for clear and practical guidance shaped by years of experience in antitrust enforcement and private practice.
Rich rejoined the firm in December 2013 after serving for four years as the Director of the Bureau of Competition at the Federal Trade Commission. He directed the FTC’s antitrust enforcement activity during a period when approximately 80 enforcement actions were initiated in a wide variety of industries. Major matters included, among others, two victories in the Supreme Court (involving pay-for-delay and state action), successful challenges to hospital mergers, and Intel and Google consent orders. He also participated directly in drafting and implementing the 2010 Horizontal Merger Guidelines.
Prior to serving as Bureau Director, Rich was a partner in the firm’s Washington D.C. office from 2001 to 2009. From October 1998 to June 2001, he served as an Assistant Director of the Bureau of Competition, in charge of the Health Care Services and Products Division. The work of that Division focused on antitrust enforcement in the health care industry, including anticompetitive practices and mergers involving health care providers, and anticompetitive conduct in the pharmaceutical industry.
Before initially entering private practice in 1985, Rich worked as a trial attorney in the Antitrust Division of the U.S. Department of Justice, and also served as Acting Deputy Director of the Division’s Office of Policy Planning and as Acting Assistant Chief of the Division’s Energy Section.
Research Manager, American Economic Liberties Project
Laurel manages AELP’s team of policy analysts and coordinates with expert advisors and fellows to develop original research and policy briefs. An experienced attorney, she also frequently writes and speaks about high profile court cases that impact the economic liberties of the American people.
In private practice, Laurel represented firms of all sizes– from startups to Fortune 500 companies– spanning a wide variety of industries, from software to generic pharmaceuticals to semiconductors. At Comar Mollé LLP, a boutique firm that specializes in serving startups and investors, she provided strategic counseling on employment, privacy, and transactional matters. At Goodwin Procter LLP, a global biglaw firm, she litigated high stakes patent and complex commercial disputes and counseled clients on technology transactions.
Before joining AELP, Laurel researched competition policy issues for the Balanced Economy Project in Europe. Earlier in her career, she analyzed legislation promoting access to essential medicines at the World Health Organization, coordinated patent law training workshops for Vietnamese research institutions through the Public Intellectual Property Resource for Agriculture, and developed public outreach materials for the American Association for the Advancement of Science. She has also developed and taught courses on topics ranging from legal practice skills to emerging policy issues.
Partner, Global Chair, Antitrust and Competition, Fried Frank
Bernard A. Nigro Jr. (“Barry”) is Global Chair of Fried Frank's Antitrust and Competition Department. Barry previously served as the Department of Justice’s Principal Deputy Assistant Attorney General for Antitrust and the Federal Trade Commission’s Deputy Director for the Bureau of Competition.
During his almost 40 years of practice and government service, Barry has handled hundreds of civil and criminal matters in dozens of industries ranging from concrete to high tech and everything in between. For example, Barry has been involved in some of the largest M&A transactions during the past decade, served as the antitrust compliance monitor in United States v. Apple Inc. (S.D.N.Y. 2013), worked on a variety of cartel matters, and counseled on complex compliance and litigation matters. While in government, Barry supported the rollout of the Procurement Collusion Strike Force, an initiative to modernize the merger review process, and revisions to the merger guidelines and remedies policies.
Barry is recognized as a leader by Chambers USA: America’s Leading Lawyers for Business, a “Leading Lawyer” by Legal 500 in Antitrust: Merger Control, and a “Global Leader” by Who’s Who Legal: Competition. Clients say "Barry is very adept at getting deals across the finish lines. He knows the inside game very well," “he is a skilled and knowledgeable antitrust lawyer with a very practical approach,” and “knows how to marry business and antitrust.” Other clients describe him as “the rare combination of DOJ and FTC expertise that is invaluable to clients who need to understand the agencies’ latest thinking” and note that “his decades of experience generally, and recent experience as the number-two lawyer in the Antitrust Division, make him a knowledgeable and skilled counselor on a broad array of government enforcement matters.” Clients say he is “fabulous” and “figures out quickly what’s important and focuses energies there.” Clients also report that “[n]o one compares to Barry Nigro in terms of goodwill” and note his “years of experience make his counsel and perspective, particularly seeing what is coming down the road, exceptional.”
Barry’s commitment to public service includes having served as Vice Chair of the American Bar Association’s Section of Antitrust Law (numbering over 10,000 members from across the globe), President of the George Washington University Law Alumni Association, a member of the Executive Committee of Higher Achievement’s DC President’s Council, a member of St. Albans School’s Development Committee, a member of Bishop Ireton High School’s Campaign Leadership Committee, and a member of Georgetown University’s Class of 1982 Executive Committee, among many other roles.
Alexander Hamilton Professor of Business Law, George Washington University Law School
Barak Richman’s primary research interests include the economics of contracting, new institutional economics, antitrust, and healthcare policy. His work has been published in the Columbia Law Review, the University of Pennsylvania Law Review, Law and Social Inquiry, the New England Journal of Medicine, the Journal of the American Medical Association, and Health Affairs. In 2006, he co-edited with Clark Havighurst a symposium volume of Law and Contemporary Problems entitled "Who Pays? Who Benefits? Distributional Issues in Health Care,” and his book Stateless Commerce was published by Harvard University Press in 2017.
Professor Richman represented the NFL Coaches Association in an amicus curiae brief in American Needle v. The Nat’l Football League, which was argued before the U.S. Supreme Court in January 2010 and again in Brady v. The Nat’l Football League in 2011. His recent work challenging illegal practices by Rabbinical Associations was featured in the New York Times. And in 2020, he was a member of the Working Group on Platform Scale at Stanford University’s Program on Democracy and the Internet that proposed middleware as a solution to stem the economic and political power of dominant internet platforms.
Professor Richman is also a Senior Scholar at the Clinical Excellence Research Center at the Stanford University School of Medicine and is currently a special counsel for competition policy at the Department of Health and Human Services. He won Duke Law School's Blueprint Award in 2005 and was named Teacher of the Year in 2010. He has had visiting appointments at Columbia, Harvard, and Stanford.
Professor Richman has an AB, magna cum laude, from Brown University, a JD, magna cum laude, from Harvard Law School, and a PhD from the University of California, Berkeley, where he studied under Nobel Laureate in Economics Oliver Williamson. He served as a law clerk to Judge Bruce M. Selya of the United States Court of Appeals for the First Circuit, and from 1994-1996 he handled international trade legislation as a staff member of the United States Senate Committee on Finance, then chaired by Senator Daniel Patrick Moynihan
Partner, Co-chair of the Litigation & Trial Practice Group, Alston & Bird LLP
Adam Biegel is co-chair of Alston & Bird’s Litigation & Trial Practice Group and former co-chair of its Antitrust Team. He has substantial experience representing clients on antitrust counseling and litigation matters, including those involving government and internal investigations, mergers and joint ventures, pricing and distribution, compliance counseling and training, pre-merger reviews under the Hart-Scott-Rodino (HSR) Act, and multidistrict litigation. He regularly represents clients before the U.S. Department of Justice (DOJ) Antitrust Division, Federal Trade Commission (FTC) and state attorneys general, and in federal courts.
Adam is recognized for his antitrust experience by Chambers USA and selected to The Best Lawyers in America®, including his recognition as “Lawyer of the Year” for Antitrust Litigation in Washington, D.C., in 2022. He is a longtime member of the American Bar Association Antitrust Law Section’s leadership, currently serving as co-chair of its In-House Counsel Task Force and previously having served on its board, and chaired its Corporate Counseling Committee, Long Range Planning Committee, and Spring Meeting conference. He also serves on the board of the Federalist Society’s antitrust practice group.
Adam served as a law clerk to the Hon. Frank M. Hull, U.S. Court of Appeals for the Eleventh Circuit. Before attending law school, he worked as a newspaper reporter in Arkansas and on the legislative staff of U.S. Senator Orrin Hatch.
Attorney, MoloLamken LLC
Lauren M. Weinstein is an attorney in MoloLamken's Washington, D.C. office. Her practice focuses on trial and appellate litigation, representing clients before the United States Supreme Court, the federal courts of appeals, and other federal and state courts. Her practice covers a broad array of subject matters, including antitrust law, class actions, constitutional law, business litigation, and securities suits. Prior to joining MoloLamken, Ms. Weinstein served as a law clerk to the Honorable M. Margaret McKeown of the United States Court of Appeals for the Ninth Circuit and the Honorable John G. Koeltl of the United States District Court for the Southern District of New York. Ms. Weinstein received her B.A. from Northwestern University and J.D. from Harvard Law School.
Partner, Paul, Weiss
Andrew Finch is co-chair of the Antitrust Practice Group and a partner in the Litigation Department. He recently rejoined the firm from the U.S. Department of Justice’s Antitrust Division, where he served as Principal Deputy Assistant Attorney General (April 2017-August 2019) and as Acting Assistant Attorney General (April-September 2017), overseeing all aspects of the Antitrust Division’s operations. A seasoned and pragmatic antitrust counselor and litigator, Andrew has extensive experience with civil and criminal antitrust investigations, litigation and appeals.
EXPERIENCE
Andrew’s practice focuses on antitrust investigations and litigation, both criminal and civil, including merger reviews. At the Antitrust Division, Andrew oversaw dozens of major merger reviews; supervised multiple litigations; negotiated civil and criminal settlements, including consent decrees involving divestitures, plea agreements and deferred prosecution agreements; and represented the Antitrust Division in meetings with other federal agencies, members of Congress, state attorneys general and foreign competition authorities. Throughout his tenure, Andrew played a leadership role in developing and implementing Antitrust Division policies and priorities, including the Division’s new policy regarding the consideration of effective antitrust compliance programs in criminal enforcement decisions. Andrew also has spoken extensively in the United States and abroad about antitrust issues relating to “big data” and technology platforms, acquisitions of nascent competitors, and the application of antitrust law to intellectual property disputes and standard-development organizations.
In private practice, Andrew has represented a broad range of clients, including in the financial services industry, payment networks, insurance, manufacturing, steel production, public performing rights, petroleum refining, publishing, retailing, shipping and air transportation industries, among others. Andrew’s notable representations include:
Between 2003 and 2005, Andrew served as Counsel to the Assistant Attorney General in the Antitrust Division. While at the DOJ, he participated in drafting the joint report of the DOJ and FTC, Antitrust Enforcement and Intellectual Property Rights: Promoting Innovation and Competition, and contributed to the Report of the DOJ’s Task Force on Intellectual Property.
Andrew served as a law clerk to the Honorable Dennis G. Jacobs in the U.S. Court of Appeals for the Second Circuit. At the University of Chicago Law School, Andrew was a John M. Olin Student Fellow in Law and Economics, the Topics and Comments Editor of The University of Chicago Law Review, and was elected to the Order of the Coif.
Andrew is a member of the American Bar Association’s Section of Antitrust Law, and currently serves on the ABA’s Task Force on the Future of Competition Law Standards. He previously served as vice-chair of the Books and Treatises Committee, as vice-chair of the Civil Practice and Procedure Committee, as a member of the Editorial Board of Antitrust Law Developments (Sixth), and as a principal editor of the Handbook on Interlocking Directorates.
Since 2014, Andrew has been recognized by Chambers USA as a leading lawyer in Antitrust. Clients commented that Andrew “is a very smart lawyer [who] has a very keen understanding of antitrust matters from the government perspective.” Following his tenure as one of the senior leadership of the Antitrust Division at the DOJ, Chambers USA has recognized Andrew as an “Eminent Practitioner” in the Antitrust (New York) category for his wide-ranging knowledge across criminal and civil antitrust issues. He is also highly recommended by The Legal 500 in the Antitrust: Cartel, Antitrust: Civil Litigation/Class Actions: Defense and Antitrust: Merger Control categories.
Andrew is a member of the Board of Directors of the School of American Ballet.
Partner, Co-chair of the Litigation & Trial Practice Group, Alston & Bird LLP
Adam Biegel is co-chair of Alston & Bird’s Litigation & Trial Practice Group and former co-chair of its Antitrust Team. He has substantial experience representing clients on antitrust counseling and litigation matters, including those involving government and internal investigations, mergers and joint ventures, pricing and distribution, compliance counseling and training, pre-merger reviews under the Hart-Scott-Rodino (HSR) Act, and multidistrict litigation. He regularly represents clients before the U.S. Department of Justice (DOJ) Antitrust Division, Federal Trade Commission (FTC) and state attorneys general, and in federal courts.
Adam is recognized for his antitrust experience by Chambers USA and selected to The Best Lawyers in America®, including his recognition as “Lawyer of the Year” for Antitrust Litigation in Washington, D.C., in 2022. He is a longtime member of the American Bar Association Antitrust Law Section’s leadership, currently serving as co-chair of its In-House Counsel Task Force and previously having served on its board, and chaired its Corporate Counseling Committee, Long Range Planning Committee, and Spring Meeting conference. He also serves on the board of the Federalist Society’s antitrust practice group.
Adam served as a law clerk to the Hon. Frank M. Hull, U.S. Court of Appeals for the Eleventh Circuit. Before attending law school, he worked as a newspaper reporter in Arkansas and on the legislative staff of U.S. Senator Orrin Hatch.
Deputy Director of the Bureau of Competition, Federal Trade Commission
Ian Conner serves as the Deputy Director of the Bureau of Competition at the Federal Trade Commission. He previously was a partner in the Antitrust & Competition practice at Kirkland & Ellis LLP in Washington, DC. Prior to entering private practice, Mr. Conner was a Trial Attorney in the Transportation, Energy and Agriculture Section of the Antitrust Division of the U.S. Department of Justice.
Senior Antitrust Counsel,, Tennessee Attorney General’s Office
Vic is Senior Antitrust Counsel in the Tennessee Attorney General’s Office and serves as Tennessee’s chief counsel for all state and multistate antitrust investigations and litigation. He also enforces Tennessee’s Nonprofit Act with a special focus on hospital transactions and conducts investigations on behalf of the Tennessee Ethics Commission. He is admitted to practice before all state courts in Tennessee, the U. S. Supreme Court, the United States Court of Appeals for the Sixth Circuit and United States District Courts for the Eastern, Middle and Western Districts of Tennessee. Vic was named Chair of the NAAG Antitrust Task Force in 2015 and has served as a member of the Long Range Planning Committee of the Antitrust Law Section of the American Bar Association and as a Co-Chair of the State Enforcement Committee. He has written and spoken on numerous antitrust and nonprofit matters and is currently on the Editorial Board of the ABA publication Antitrust Law Developments Updates. He has also planned or participated as a panelist on several ABA teleconferences programs and Spring Meeting sessions. Vic received his J.D. from Rutgers University School of Law and has a B.A. in Economics from Vanderbilt University
Senior Associate, Baker Botts L.L.P., Washington, DC
Jeffrey Oliver is an Associate in the firm’s Antitrust and Competition Practice. Mr. Oliver advises clients on all aspects of antitrust law, with an emphasis on U.S. and international merger reviews. Mr. Oliver has obtained antitrust clearance for transactions in a wide variety of industries, with significant experience in oil and gas, pharmaceuticals, chemicals and trade associations.
Prior to joining Baker Botts, Mr. Oliver was a Staff Attorney at the Federal Trade Commission, Bureau of Competition. There, Mr. Oliver’s practice focused on merger and conduct investigations in the oil and gas industry. Mr. Oliver has experience in all phases of the FTC’s investigation process, from reviewing HSR filings to challenging mergers in litigation.
Senior Deputy Attorney General, Antitrust Section, Pennsylvania Attorney General’s Office
Jennifer A. Thomson serves as a Senior Deputy Attorney General in the Antitrust Section of the Pennsylvania Office of Attorney General, which she joined in March of 2003. She practices Antitrust Law, specializing in Intellectual Property, Healthcare and Airline matters, along with a wide array of other industries. Ms. Thomson has given presentations with the American Bar Association, the National Association of Attorneys General, the United States Department of Justice, the American Antitrust Institute and the United States Patent and Trademark Office. She authored several papers on topics such as the proposed merger of Highmark and Independence Blue Cross, State Action of the states' objection to the Google Book Search Settlement.
Ms. Thomson earned her J.D. in 2002 from the University of Pittsburgh School of Law, where she was an inaugural Fellow for the Samuelson/Glusko Fellowship in IP/Technology Law. As part of this fellowship, she prepared a paper on antitrust in the motion picture industry, which received from the University of Pittsburgh faculty the Thomas M. Cooley, II Legal Writing Award for Most Distinguished Paper. She is admitted to the bars of the Commonwealth of Pennsylvania, the United States District Courts for the Western, Middle and Eastern Districts of Pennsylvania, the Untied States District Court for the District of Columbia and the United States Court of Appeals for the Third Circuit. She is a member of the American Bar Association Antitrust Section and the State Enforcement Committee. She has been designated by the Chief Attorney General to sit on their behalf on the State Board of Cosmetology from 2003-2017, the Real Estate Commission Since Fall, 2017, and was recently appointed to serve as part of the Advisory Committee of the Review of the State Professional and Occupational Licensure Board Requirements and Processes pursuant to Pennsylvania Governor Tom Wolf's Executive Order 2017-03.
Time for a Checkup: Evaluating the Withdrawal of the Health Care Antitrust Guidelines
Adam Biegel, John D. Carroll, Richard A. Feinstein, Laurel Kilgour, Bernard A. Nigro, Barak D. Richman
In 1996, the FTC and DOJ issued Statements of Antitrust Enforcement Policy in Health Care. ...
Time for a Checkup: Evaluating the Withdrawal of the Health Care Antitrust Guidelines
Adam Biegel, John D. Carroll, Richard A. Feinstein, Laurel Kilgour, Bernard A. Nigro, Barak D. Richman
In 1996, the FTC and DOJ issued Statements of Antitrust Enforcement Policy in Health Care. ...
Topics
FTC Chair Halts Expedited Antitrust Clearance for Deals, Calls for Higher Filing Fees for Large Deals
The new Acting Chair of the Federal Trade Commission (FTC) took actions last week that may...
Courthouse Steps: What Does the Supreme Court’s Decision in Apple v. Pepper Mean for Antitrust Law and the U.S. Economy?
Adam Biegel, Lauren Weinstein, Andrew Corydon Finch
Corporations, Antitrust, and Securities Practice Group Teleforum
On May 13, 2019, the U.S. Supreme Court ruled 5-4 that Apple may face antitrust...
Antitrust Enforcement by State Attorney Generals
Adam Biegel, Ian Conner, Victor Domen, Jeffrey S. Oliver, Jennifer A. Thomson
State Attorneys General often investigate antitrust violations – ranging from price fixing to anticompetitive mergers...