General Counsel, Strive
Before joining Strive, Alexandra served as the Director of Regulatory Affairs at River Financial, where she handled all regulatory and government matters and served as product counsel. Prior to her time at River, Alexandra worked at the U.S. Department of Treasury, first in the General Counsel’s office and then as the youngest-ever Executive Secretary, where she worked directly with Secretary Mnuchin. Alexandra previously worked as an associate in the Washington, D.C. office of Akin Gump. She clerked for then-Justice Allison Eid on the Colorado Supreme Court and Judge Jennifer Elrod on the U.S. Court of Appeals for the Fifth Circuit. She holds a J.D. from the University of Texas and a B.A. from The King’s College.
Senior Counsel & Director of the Center for Religious Schools, Alliance Defending Freedom
Gregory S. Baylor serves as senior counsel with Alliance Defending Freedom, where he is the director of the Center for Religious Schools and senior counsel with the Center for Public Policy.
Since joining ADF in 2009, Baylor has focused on defending and advancing the religious freedom of faith-based educational institutions through advice, education, legislative and public advocacy, and representation in disputes. He has testified about religious liberty issues three times before congressional committees and numerous times before state legislative committees.
Greg serves on the board of directors of the International Alliance for Christian Education, the board of directors of the Association for Biblical Higher Education, the board of directors of the Association for Christian Schools International, the board of advisors of the Museum of the Bible, and advisory board of the Center for Academic Faithfulness and Flourishing.
Greg earned his Juris Doctor in 1990 from Duke University School of Law, where he graduated Order of the Coif, with high honors, and served on the editorial board of the Duke Law Journal. He received his bachelor’s degree in Honors English in 1987 from Dartmouth College. Following graduation from law school, he served as law clerk to the Hon. Jerry E. Smith on the U.S. Court of Appeals for the Fifth Circuit. He practiced labor and employment law at two large international law firms for three years before joining the staff of Christian Legal Society’s Center for Law and Religious Freedom, where he served for 15 years prior to joining ADF. He lives in Northern Virginia with his wife (a medical doctor) and two daughters.
President, Alabama Center for Law and Liberty
Matthew Clark graduated from the Liberty University School of Law in 2012 in the top 10% of his class, and he had served on both the law review editorial board and moot court board. From 2013-2016, Clark worked on the Alabama Supreme Court, beginning as a law clerk but being promoted to a staff attorney after one year. From 2016 until 2021, Clark worked at the Foundation for Moral Law in Montgomery, practicing constitutional law and focusing on religious liberty, the right to life, and promoting a strict interpretation of the United States Constitution according to the intent of its framers.
After joining ACLL in March of 2021, Clark sued the Biden administration over its OSHA vaccine mandate, took it all the way to the United States Supreme Court, and won. Clark also successfully got UAB Health to rescind its vaccine mandate for its employees, guaranteeing that their jobs would be safe so that they could continue to provide much-needed medical services to those in need. Clark also successfully led a campaign of multiple legal and public policy organizations to pressure the Montgomery City Council to vote down an LGBT ordinance that would punish Christians with religious objections to endorsing, encouraging, or enabling conduct that they find sinful. Through his amicus advocacy, Clark has also asked the United States Supreme Court to overrule Roe v. Wade, protect the right of citizens to carry firearms for self-defense outside their homes, recognize the right of government employees to pray in public, and return Congress’s commerce power to the very limited role that the Framers intended for it to have.
Clark is admitted to the state bars of Alabama and Virginia. He is also admitted to the bars of the United States Supreme Court, the United States Courts of Appeals for the Second, Third, Sixth, Eleventh, and D.C. Circuits, and the United States District Courts for the Northern, Middle, and Southern Districts of Alabama. He is also a member of the Federalist Society’s Religious Liberty Executive Committee and an officer in his local Federalist Society Chapter. In 2021 and 2022, he was also a member of Alabama Secretary of State John Merrill’s Voter Fraud Task Force. He also occasionally lectures at Faulkner University on constitutional law.
Clark is married to his wife Laura, who is also an attorney, has an LLM in Alternative Dispute Resolution from the Thomas Goode Jones School of Law, and volunteers her time to assist ACLL. They have one child and are members of Vaughn Park Church in Montgomery.
R. B. Price and Isabelle Wade & Paul C. Lyda Professor Emeritus of Law, University of Missouri School of Law
Carl H. Esbeck is R.B. Price Professor and Isabelle Wade & Paul C. Lyda Professor of Law emeritus at the University of Missouri. After attending Cornell University School of Law where he served as an editor on the Cornell Law Review, he held a judicial clerkship with the Honorable Howard C. Bratton, chief judge of the U.S. District Court in New Mexico.
Professor Esbeck publishes widely in the area of religious liberty and church-state relations. He is recognized as the progenitor of "Charitable Choice," an integral part of the 1996 Federal Welfare Reform Act, later made a part of the faith-based initiative and equal-treatment regulations under presidents George W. Bush and Barack Obama. In addition, he has taken the lead in recognizing that the modern Supreme Court has applied the Establishment Clause not as a personal right, but as a structural limit on the government's authority in disputes involving church governance. While on leave from 1999 to 2002, Professor Esbeck directed the Center for Law & Religious Freedom (CLRF) and later served as Senior Counsel to the Deputy Attorney General at the U.S. Department of Justice. While directing the CLRF, Professor Esbeck was a central part of the congressional advocacy behind the Religious Land Use and Institutionalized Persons Act of 2000 (RLUIPA). While at the Department of Justice one of his duties was to direct a task force to remove barriers to the equal-treatment of faith-based organizations applying for social service grants. He is the author of Disestablishment and Religious Dissent: Church-State Relations in the New American States, 1776 - 1833 (U. of MO Press, 2019).
Judge William Hawley Atwell Chair of Constitutional Law, SMU Dedman School of Law
Professor Carpenter is the Judge William Hawley Atwell Chair of Constitutional Law. He previously served as the Charles J. and Inez Wright Murray Distinguished Visiting Professor of Law at SMU, teaching Constitutional Law I as well as LGBT Rights and the Law. This fall he will teach Constitutional Law II.
Prior to joining SMU, Professor Carpenter taught for 16 years at the University of Minnesota, where he served as a Distinguished University Teaching Professor and the Earl R. Larson Professor of Civil Rights and Civil Liberties Law. He won multiple teaching awards. He is also an editor of Constitutional Commentary.
The Texas native received his B.A. degree in history, magna cum laude, from Yale College and received his J.D., with honors, from the University of Chicago Law School, where he was editor-in-chief of the University of Chicago Law Review. After serving as a law clerk for Fifth Circuit Judge Edith Jones, he practiced at the firms Vinson & Elkins LLP in Houston, and at Howard, Rice, Nemerovski, Canady, Falk & Rabkin, P.C. in San Francisco.
As the author of numerous articles and an award-winning book —FLAGRANT CONDUCT: THE STORY OF LAWRENCE V. TEXAS (W.W. Norton & Co., 2012), about the landmark U.S. Supreme Court case that invalidated America's sodomy laws — he is often asked by the media to comment on constitutional law, the First Amendment, and LGBT Rights and the Law. Since 2005, he has been an active blogger on the popular legal blog, The Volokh Conspiracy, which is hosted by the Washington Post.
Attorney General, Missouri
Andrew Bailey was appointed Attorney General for the State of Missouri on November 23rd, 2022.
Bailey earned a Bachelor of Arts in English from the University of Missouri-Columbia. After graduation, he joined the United States Army as an officer. He was deployed twice in support of Operation Iraqi Freedom. He was awarded two Army Achievement Medals, an Army Commendation Medal, a Combat Action Badge, and two Bronze Star Medals for his service.
In 2009, he returned from deployment and enrolled at the University of Missouri School of Law.
Bailey joined the Missouri Governor’s Office as Deputy General Counsel in 2019 and has served as General Counsel since 2021. He has also served as a Missouri Assistant Attorney General, Assistant Prosecuting Attorney for the Warren County Prosecuting Attorney’s Office, and as General Counsel for the Missouri Department of Corrections.
Bailey and his wife, Jessica, have four children.
Founder, TGH Litigation LLC
Before forming TGH Litigation, Andy Hirth served as Deputy General Counsel in the Missouri Attorney General's Office, where he represented the people of Missouri in many of the state's highest-profile cases. During his six and a half years with the AGO, Andy defended numerous Missouri statutes from constitutional challenge, including the Macks Creek Law and the Inter-District School Transfer Law; represented Missouri in a $1.14 billion contract dispute between 46 states and more than 30 major tobacco companies; got Missouri's natural resources damage suit over the Bridgeton Landfill fire remanded to state court; and challenged regulations imposed on Missouri farms and businesses by the federal government and the state of California.
Andy graduated cum laude from the University of Missouri-Columbia School of Law in 2005, where he served as Editor-in-Chief of the Missouri Law Review and was inducted into the Order of the Coif. Andy founded and served as president of the University of Missouri-Columbia Student Chapter of the American Constitution Society for Law and Policy. He received a Burton Award for Legal Achievement and the Judge Shepard Barclay Prize for the graduating law student "who has attained the highest standing in scholarship and moral leadership."
After law school, Andy clerked for the Hon. Nanette K. Laughrey, United States District Judge for the Western District of Missouri and spent three years in private practice at Jenner & Block LLP in Chicago, Illinois. As an associate in the firm's Commercial Litigation and Supreme Court and Appellate Practice Groups, Andy represented a national over-the-road trucking company in an EEOC enforcement action alleging a pattern and practice of sexual harassment; defended a national media company from defamation and tortious interference claims by a former radio personality; and challenged the death sentence of an inmate in Florida. In 2010, Andy returned to Missouri to work for Attorney General Chris Koster.
Andy has taught Constitutional Law as an adjunct professor at the University of Missouri-Columbia School of Law. He holds a Juris Doctor and a Master's degree in English from the University of Missouri - Columbia.
Principal Deputy Assistant Attorney General for Civil Rights, United States Department of Justice
Jesus A. Osete previously served as General Counsel to the Hon. John R. Ashcroft, Secretary of State of Missouri. Mr. Osete previously served as Deputy Solicitor General of Missouri and Deputy Attorney General for Special Litigation. He has presented oral argument in the U.S. Supreme Court. Before joining the Missouri Attorney General’s Office, Mr. Osete worked at Bryan Cave Leighton Paisner LLP in the Appellate and Supreme Court Group. He also clerked for the Hon. Bobby E. Shepherd of the United States Court of Appeals for the Eighth Circuit and the Hon. Chief Justice Zel M. Fischer of the Supreme Court of Missouri. Mr. Osete received his J.D. from Washington University in St. Louis, where he served as Senior Executive Editor of the Washington University Law Review. Before law school, Mr. Osete worked for the late Senator John McCain in the United States Senate, and received an A.B. in political science and pre-law from the University of Arizona.
Mr. Osete serves as Trustee for the Supreme Court of Missouri Historical Society and served as Vice-Chair of the Missouri Bar Appellate Practice Committee. In 2018, he was one of approximately forty individuals in the United States selected to attend the Originalism Summer Seminar at the Georgetown University Law Center. In 2019, he was one of twelve young lawyers in Missouri selected to participate in the MissouriBar’s Leadership Academy.
Partner and Co-Chair, Appellate and Supreme Court Group, Bryan Cave Leighton Paisner
Barbara is a co-chair of the Appellate and Supreme Court Group at BCLP. She is an experienced trial and appellate litigator who counsels clients through their most sensitive and challenging litigation issues, and she routinely handles politically sensitive matters and aggressively advocates for early and complete victory. Her diverse client base—she has represented politicians, fortune 500 companies, foreign sovereigns, and boards of directors—share one thing in common: They need a strong advocate, and they want to win.
Barbara practices—and wins—at all levels of the federal and state courts. Before the United States Supreme Court, Barbara has represented clients filing petitions for certiorari, opposing certiorari, and she has filed merits briefs. She has also represented amici at the certiorari and merits stages.
At the trial court level, she routinely briefs and argues complex dispositive motions in anticipation of defending those victories on appeal. She also has first chair trial experience. On complex trial teams, she has acted as appellate preservation counsel. An experienced appellate advocate, Barbara has notched victories in state and federal appellate courts, including at the United States Supreme Court.
Because some of her clients prefer confidential ADR to public civil litigation, Barbara also has alternative dispute resolution experience, including winning a major arbitration victory for a petitioner-client and successfully mediating a case that (before her involvement) had previously been pending in the court system for more than a decade.
As an example of Barbara’s value-add, she recently crafted a novel standing argument that she briefed and won on a motion to dismiss a putative class action challenging a $198 million transaction in federal court. By winning on a motion to dismiss, she saved her client the time and cost of discovery. Barbara then successfully defended the victory on appeal—after briefing, the petitioner agreed to voluntarily dismiss the appeal and the case ended.
Among other issues, she has litigated questions of constitutional law, statutory construction, administrative law, securities law, labor and employment, white collar crime, ERISA, bankruptcy, and sovereign debt.
Before joining BCLP, Barbara served as a law clerk to Justice Samuel A. Alito, Jr. on the United States Supreme Court and Judge Thomas B. Griffith on the United States Court of Appeals for the D.C. Circuit. She also previously practiced at a Supreme Court litigation boutique, where she represented clients before the United States Supreme Court and various federal courts of appeal.
In her free time, Barbara teaches a class on the United States Supreme Court as an adjunct law professor at Washington University in St. Louis. She also serves on the Steering Committee for the St. Louis Chapter of the Federalist Society.
Barbara earned her J.D. from Stanford Law School, where she was the Editor-in-Chief of the Stanford Journal of Law, Business, and Finance, the President of the Federalist Society, and a member of the law school’s student government. While in law school, Barbara was a moot court semi-finalist and a teaching assistant at Stanford Law School and Stanford’s Graduate School of Business.
Prior to attending law school, Barbara spent two years in the White House Counsel’s Office working for President George W. Bush. She graduated magna cum laude and with honors, from Wake Forest University, with a B.A. in economics and political science.
Judge, United States Court of Appeals, Eighth Circuit
Judge William Duane Benton is a federal judge on the United States Court of Appeals for the 8th Circuit. He joined the court in 2004 after being nominated by former President George W. Bush. Prior to his appointment, Judge Benton served as the chief justice of the Missouri Supreme Court. During his service on the court he received his masters of laws from the University of Virginia, completed the senior executives program at Harvard University’s John F Kennedy School of Government, and completed a post-graduate appellate judges course at New York University’s Institute of Judicial Administration.
Prior to serving on the Supreme Court of Missouri, Judge Benton was appointed by then-Governor John Ashcroft as director of the state’s department of revenue. Judge Benton also worked as a judge advocate general for the United States Navy, during which time he received his master’s degree in business administration and accountancy from the University of Memphis.
Judge Benton earned his law degree from Yale Law School and was the managing editor of the Yale Law Journal.
Senior Judge, United States District Court for the Eastern District of Missouri
Stephen N. Limbaugh, Jr., is a Senior U. S. District Judge for the Eastern District of Missouri. He formerly served as prosecuting attorney of Cape Girardeau County, as Circuit Judge for the 32nd Judicial Circuit, and as a judge and chief justice on the Supreme Court of Missouri. He was appointed to the federal bench in 2008 by President George W. Bush, and has since served as the resident district judge in the Rush Hudson Limbaugh, Sr. United States Courthouse in Cape Girardeau, named after his grandfather. Judge Limbaugh's father, Stephen N. Limbaugh, Sr., is a retired U. S. District Judge, and his son, Christopher K. Limbaugh, is a judge on the Circuit Court of Cole County.
Judge, United States District Court, Eastern District of Missouri.
Matthew T. Schelp serves as a United States District Judge for Eastern District of Missouri. Schelp began his tenure In August 2020 when he replaced District Judge Stephen N. Limbaugh, Jr.
Before being sworn in, Schelp served in a variety of roles in both the public and private sector. Most recently, he was a partner at the firm of Husch Blackwell, where he chaired the firm’s government compliance, investigations and litigation practice group. Prior to his time at Husch Blackwell, Schelp served as an Assistant United States Attorney, and as a Judge Advocate in the United States Navy’s Judge Advocate General Corps. Schelp received both his bachelor's and law degrees from the University of Missouri.
Judge, U.S. District Court, Eastern District of Missouri
Judge Cristian M. Stevens was appointed by Governor Mike Parson to the Missouri Court of Appeals-Eastern District in October 2021. Before taking the bench, Judge Stevens was the First Assistant Attorney General to Missouri Attorney General Eric Schmitt. He is a sixth-generation Missourian, raised in St. Charles County, and a graduate of the University of Missouri-Columbia School of Law, where he was editor-in-chief of the Missouri Law Review. Upon graduation, he served as law clerk to the Honorable Pasco M. Bowman II, Chief Judge of the Eighth Circuit U.S. Court of Appeals, in Kansas City, Missouri. He has practiced law at several large law firms in St. Louis. He was a federal prosecutor for 15 years at the U.S. Attorney’s Office for the Eastern District of Missouri, where he led the investigation of the August 9, 2014, officer-involved shooting in Ferguson, Missouri. Judge Stevens is married with three children, a parishioner of the Catholic Church, and a member of the Federalist Society.
Missouri Court of Appeals, Eastern District of Missouri
John P. Torbitzky is a judge on the Missouri Court of Appeals, Eastern District. Torbitzky served as a law clerk to the Honorable Zel M. Fischer on the Supreme Court of Missouri before entering private practice. He was appointed to the court in 2021 by Governor Michael L. Parson.
Partner, Copilevitz Lam & Raney
Karen Donnelly is a partner at Copilevitz Law & Raney and president of the Kansas City Lawyers Chapter with the Federalist Society. Karen’s practice focuses on First Amendment litigation and regulatory law in the areas of charitable, political and commercial speech. She represents nonprofit and commercial entities within the fundraising, advertising and marketing communities, including state attorney general investigations, Federal Trade Commission investigations, IRS audits, multi-state investigations, civil rights litigation and appellate practice in federal and state courts.
In 2023, Karen argued before the U.S. Court of Appeals for the Tenth Circuit in a First Amendment case involving a statutory ban on charitable fundraising.
In 2021, Karen coordinated and filed an amicus brief before the U.S. Supreme Court in Americans for Prosperity v. Bonta on behalf of The Nonprofit Alliance (TNPA), People for the Ethical Treatment of Animals (PETA), Association of Fundraising Professionals (AFP) and 123 nonprofit organizations across the ideological spectrum in support of the petitioners. Our brief contributed to a victory for the entire philanthropic sector–SCOTUS facially invalidated California’s mandatory disclosure of major donors as a condition of soliciting charitable contributions in the State.
In 2018, Karen argued before the U.S. Court of Appeals for the DC Circuit in a case involving administrative law and First Amendment claims in the charitable speech context.
In 2019 and 2020, Karen successfully represented nonprofit and commercial organizations in federal trademark matters in federal district court and before the USPTO’s Trademark Trial and Appeal Board.
Karen also counsels on the formation, structuring and qualification of tax-exempt organizations. She advises clients on nonprofit governance issues, corporate law, regulatory compliance, tax-exempt organizations law, and constitutional law.
She has also worked in the areas of direct marketing and nonprofit fundraising in Washington, D.C.
Karen is the President of the Kansas City Lawyers Chapter of the Federalist Society. She also serves on the Board of Kansas City-based Non-Profit Connect and participates in the Government Affairs Committee of The Nonprofit Alliance based in Washington, D.C. Karen is Chair of the St. Anthony’s Pastoral Council, Lector and Pre-Cana Minister. In her spare time, she enjoys travel, running, and spending time with family.
Director of Litigation and Senior Attorney, Hamilton Lincoln Law Institute
Theodore H. Frank is director at the Hamilton Lincoln Law Institute and the Center for Class Action Fairness. Frank founded and ran CCAF as a non-profit, public interest law firm in 2009.
Frank has won several landmark appeals and tens of millions of dollars for consumers and other plaintiffs through his class action work. Adam Liptak of The New York Times calls Frank “the leading critic of abusive class action settlements” and the American Lawyer Litigation Daily referred to him as “the indefatigable scourge of underwhelming class action settlements.”
Previously, Frank clerked for the Honorable Frank H. Easterbrook on the Seventh Circuit Court of Appeals, and was a litigator at firms in Washington and Los Angeles and a resident fellow at the American Enterprise Institute. Frank is a frequent public speaker and has testified before Congress multiple times on legal issues. He has been profiled by The Wall Street Journal, Forbes, GQ, and the ABA Journal, among other publications.
In 2008, Frank was elected to membership in the American Law Institute. He also serves on the Executive Committee of the Federalist Society Litigation Practice Group. Frank graduated from The University of Chicago Law School in 1994 with high honors and as a member of the Order of the Coif and the Law Review. He is a member of the District of Columbia Bar and the state bars of California and Illinois.
Associate, Bartimus Frickleton Robertson Rader P.C.
Kelly Frickleton is an associate attorney at Bartimus Frickleton Robertson Rader P.C. Since joining the firm in 2017, Kelly has focused her practice on complex personal injury cases, including medical malpractice and insurance bad faith litigation, and appeals. A natural problem-solver, Kelly uses her strong research and writing skills to craft legal strategies that help ensure the best possible outcome for each case. Prior to working in the legal field, Kelly was trained as an actor, which prepared her for many elements of being a trial lawyer – both in the performance aspect and her approach to cases. Her focus is always on understanding the client as an individual and telling their story in a way that will get the case to its best resolution. Kelly has also spent a considerable amount of time studying the intersection of law and race – which culminated in 2019 with her presentation of “An Exploration of Segregation in Kanas City” at KCMBA’s Bench Bar & Boardroom Conference. Kelly currently serves KCMBA/KCMBF as Chair of the YLS Board’s CLE Committee, Vice Chair of the Student Law Academy Committee, and as a member of the Bar Leadership Academy Taskforce and Communications Advisory Committee. She is also a member of the Association for Women Lawyers of Greater Kansas City, American Association for Justice, MATA, and The Women’s Foundation.
Partner, Graves Garrett Greim LLC
Edward “Eddie” Greim focuses his practice on complex commercial litigation, free speech and election law, and internal investigations and whistleblower claims. He has been recognized for his successful representation of businesses and individuals in commercial litigation while also being named a “go-to” lawyer on policy and constitutional issues.
Eddie was named a Constitutional and Election Law Trailblazer by the National Law Journal in 2020. His free speech and election law practice has included numerous constitutional challenges to election and campaign finance laws; representation of clients in state and federal ethics and campaign finance enforcement actions and investigations; initiative petition drafting and litigation; litigation and advice regarding First Amendment protections for petition circulation; representation of not-for-profit clients before state regulators; litigation of state and federal redistricting issues; and advice on campaign and election law compliance.
Eddie complements his trial work in complex, high-profile commercial and constitutional cases with oral advocacy and briefing in important appeals. Recognized as a Missouri Lawyers Media POWER 30 Appellate Attorney in 2021, he has argued before the Missouri and Kansas supreme courts multiple times, other state appellate courts across the country, and before the Sixth, Seventh, Eighth, and Tenth U.S. Courts of Appeals.
Eddie’s notable work for clients includes:
Recovering substantial compensation and injunctive relief for plaintiffs, in complex multiyear litigation, as lead counsel in the first and only nationwide class action certified against the Internal Revenue Service for violating taxpayer protection statutes when it targeted hundreds of groups based on their political viewpoints.
Successful First Amendment challenge to Missouri’s 2016 campaign finance restrictions.
Successful challenge to a vast, multiyear, secret criminal investigation into Wisconsin political groups and nonprofits, and follow-up challenge to expose role of state ethics board which secretly aided the investigation and was later dissolved by the legislature.
U.S. Supreme Court amicus brief for the National Republican Redistricting Trust in the 2019 Rucho litigation, and federal and state redistricting litigation and advice since 2011.
Challenges under the First Amendment in federal court, and in briefing to the Michigan Supreme Court on state constitutional grounds, to unprecedented emergency powers claimed by Michigan Governor in 2020.
Representation of numerous public officials and private citizens who are subject to “lawfare” attacks based on their political viewpoints or policy objectives.
Oversight of multiple internal investigations.
Eddie received his law degree from Harvard Law School in 2002, where he taught on the Board of Student Advisers, received the Dean’s Award for Leadership, and served as President of the Harvard Catholic Law Students Association. He received two bachelor’s degrees, summa cum laude, in economics and political science from the University of Missouri.
A native of Excelsior Springs, Missouri, Eddie lives in Kansas City with his family. He enjoys Missouri and military history. On many weekends, he can be found with his wife and daughters exploring sites of local interest. He enjoys reading and debating and has given presentations or organized discussions at numerous gatherings, formal and informal, of professional and personal interest.
Joel A. Katz Distinguished Professor of Law, University of Tennessee College of Law
Professor Plank joined the UT faculty in 1994 and became the Joel A. Katz Distinguished Professor of Law in 2004. His scholarly interests include the nature of property, the relationship between bankruptcy and non-bankruptcy law, and the historical development and comparison of commercial law and property law systems. He is a nationally recognized expert on mortgage backed and asset backed securities. Before joining the UT faculty, he was a partner with Kutak Rock LLP specializing in real estate finance, commercial finance, bankruptcy, and securities, in particular serving as issuer’s counsel and bankruptcy counsel in securitization transactions. Since joining the UT faculty he has served as an expert witness on securitization and other bankruptcy and commercial law matters, and as a consultant for securitization law firms, providing advice on bankruptcy, commercial law, and real estate issues in connection with securitizations and other transactions. During the 2002-2003 academic year, Professor Plank was a visiting Professor of Law at the Notre Dame Law School.
Professor Plank graduated with honors from Princeton University with a degree in history and a Certificate of Proficiency in Russian Area Studies and then served three years in the United States Marine Corps, including eight months in Vietnam as an infantry platoon commander. He graduated 5th in his class from the University of Maryland School of Law, where he was Editor-in-Chief of the Maryland Law Review. He was a law clerk for the Chief Judge of the Maryland Court of Appeals, an associate with Piper & Marbury in Baltimore, MD, and an assistant attorney general for the State of Maryland. Initially, his practice included a wide variety of transactions and litigation, including a four month trial on the constitutionality of the Maryland public school finance system and oral arguments in the United States Supreme Court and federal and state appellate courts. He then concentrated his practice in real estate, commercial finance, public finance and securities transactions.
Partner, Gibson, Dunn & Crutcher, LLP
Svetlana S. Gans is a partner in the Washington, D.C. office of Gibson, Dunn & Crutcher, LLP where she helps clients navigate complex consumer protection, privacy, and competition related regulatory proceedings before the U.S. Federal Trade Commission (FTC), , U.S. Department of Justice Antitrust Division, State Attorneys General and other enforcement bodies. Ms. Gans also assists on litigation matters and provides strategic counseling and advice related to public policy issues.
Before joining Gibson Dunn, she served as the Vice President & Associate General Counsel at NCTA, the Internet & Television Association, where she helped lead the association’s consumer protection and competition policy work. Prior to joining NCTA, Ms. Gans served with distinction as Chief of Staff to Acting Chairman Maureen K. Ohlhausen at the FTC. As the agency chief of staff, Ms. Gans managed and oversaw agency operations, including bureau and office heads reporting to the Chairman, a seven-member office staff, and an agency budget of over $300 million. She also served as the Acting Chairman’s key advisor on consumer protection and competition investigations and litigation, working with a diverse team of attorneys and economists to preserve competition and protect U.S. consumers. She created, executed, and oversaw several strategic initiatives for the agency, including the agency process reform, regulatory reform, and data security transparency initiatives. Previously, Ms. Gans had the unique experience of serving in both litigating bureaus of the FTC: the Bureau of Competition and the Bureau of Consumer Protection.
Prior to her time in government, Ms. Gans worked as an antitrust associate at major law firms. Her practice focused on defending consumer product, financial services, and trade association clients in regulatory and private investigations alleging conspiracy and violations of antitrust and consumer protection laws.
Ms. Gans has been an active leader in the ABA Antitrust Law Section (“Section”) for two decades, and currently serves as the Section’s Marketing Officer. Ms. Gans helped create the Section’s Young Lawyer Representative Program, now in its 10th year, and the Section’s Law Ambassador Program, each aimed at developing and promoting the next generation of consumer protection and competition attorneys. Ms. Gans is also active in the Federal Communications Bar Association, currently serving as Co-Chair of the Diversity Pipeline Initiative and the Women’s Leadership Committee.
Ms. Gans received her law degree with high honors from the University of Denver College of Law. During law school, Ms. Gans served as a Judicial Intern to the Honorable John L. Kane, Jr. and as an Honors Program Paralegal for the United States Department of Justice Antitrust Division, Merger Taskforce. Ms. Gans earned her undergraduate degree cum laude from Boston University.
Senior Vice President, Regulatory Affairs, National Automotive Dealers Association
Paul D. Metrey is the Senior Vice President, Regulatory Affairs for the National Automobile Dealers Association. In this capacity, he directs a team of attorneys who represent dealer interests before, and educate dealers on regulations promulgated by, federal executive branch agencies that oversee dealer operations.
Mr. Metrey is the author and editor of numerous NADA publications, including the NADA/NAMAD/AIADA Model Dealership Voluntary Protection Products Policy and the NADA/NAMAD/AIADA Fair Credit Compliance Policy & Program. He frequently speaks to dealers, Automotive Trade Association Executives, dealership compliance professionals, and other industry groups on an array of regulatory topics. Mr. Metrey is active in several professional organizations and serves on the Governing Committee of the Conference on Consumer Finance Law.
Mr. Metrey joined NADA in 2001 as its Director, Regulatory Affairs. He previously served as an attorney with the Federal Emergency Management Agency and as an active-duty Army JAG officer, with assignments in Germany, The Netherlands, and Fort Meade, Maryland. He also served in a reserve capacity as the Chief, International Law Branch of the National Guard Bureau’s Legal Support Office. Mr. Metrey obtained a Juris Doctorate degree from Catholic University’s Columbus School of Law and a Bachelor of Arts degree from Virginia Tech.
Of Counsel, Covington & Burling LLP
The Honorable Paul J. Ray is currently Of Counsel at Covington & Burling LLP where he advises clients on regulatory opportunities and challenges and helps them formulate and execute advocacy strategies for their regulatory policy priorities before the executive branch and Congress.
During the first Trump Administration, Paul held various senior positions at the Office of Information and Regulatory Affairs (OIRA) within the White House’s Office of Management and Budget, including as acting, and then Senate-confirmed, head of the office. As OIRA Administrator (the "regulations czar"), Paul supervised the review of hundreds of regulations from across the government, drafted numerous executive orders governing the regulatory process, and led the Administration’s regulatory reform effort. As a result of this experience, Paul is well-positioned to help clients understand and achieve regulatory policy priorities in the context of the government’s regulatory agenda and ongoing reform efforts.
Most recently, Paul was also the Director of the Roe Institute for Economic Policy Studies at The Heritage Foundation. In that role, he supervised the formulation of the Foundation’s economic and regulatory policy recommendations and provided technical assistance to congressional committees and staff regarding legislative changes to the regulatory process. In addition to his role at The Heritage Foundation, Paul also served as a Senior Advisor at a strategic advisory firm. Before his time in government, Paul practiced law at a law firm in Washington, specializing in administrative law matters.
Prior to his role at the White House, Paul was Counselor to the Secretary at the U.S. Department of Labor. There he led departmental efforts in high-profile rulemakings and helped formulate the Department’s legal positions and strategy.
Paul served as a law clerk to Supreme Court Justice Samuel Alito and as a law clerk to the Honorable Debra Livingston of the U.S. Court of Appeals for the Second Circuit.
Paul is a thought leader in the conservative legal movement and is a frequent commentator and speaker on regulatory policy and reform matters, including at law schools, professional gatherings, and other venues. He is the Chairman of Innovations in Peacebuilding International and the Regulatory Process Working Group of the Federalist Society’s Regulatory Transparency Project and a public member of the Administrative Conference of the United States. Paul is also an adjunct lecturer at the Hillsdale College School of Government.
Associate Director, NERA Economic Consulting
Andrew Stivers specializes in the economics of consumer protection and privacy. He has developed and conducted analysis of novel and complex questions of consumer behavior and injury related to privacy, algorithmically driven practices, and cutting-edge promotion and advertising strategies.
Dr. Stivers has provided his economic expertise to companies in the top tiers of the video/audio streaming, retail platform, gig economy, gaming, and health data industries. He has also consulted with a broad range of established and growing businesses, including in the telecommunications, payments, investment, and food and supplement industries. Dr. Stivers helps clients achieve fair outcomes that are grounded in rigorous and accessible economic analysis.
Prior to joining NERA, Dr. Stivers was a senior official in the US Federal Trade Commission’s Bureau of Economics, where he oversaw economic analysis of all consumer protection and privacy matters. He advised the Bureau of Consumer Protection and Commissioners on hundreds of regulatory and law enforcement matters during his seven-year tenure leading this work at the Commission. Dr. Stivers was directly involved in developing economic analysis and standards for evaluating novel and consequential matters.
Prior to his leadership role at the FTC, Dr. Stivers served as the Director of the Division of Public Health Informatics and Analytics at the Food and Drug Administration’s Center for Food Safety and Applied Nutrition, overseeing the Center’s statistical, epidemiological, and consumer research groups. His regulatory work for the agency included providing economic and behavioral analysis to consumer nutrition labeling initiatives. As an academic, Dr. Stivers focused his research on the regulation of information and language in the marketplace.
Dr. Stivers has written and presented on complex and wide-ranging economic topics, published economic papers, and presented keynotes and panel discussions on a variety of informational, privacy, data security, and consumer behavior topics. These include invited presentations at academic and regulator-sponsored conferences and workshops, including by the FTC and the Bank of Canada.
Chief Legal Officer and Policy Director, Cicero Institute
Jonathan Wolfson is the Chief Legal Officer and Policy Director at the Cicero Institute. Before joining Cicero, he led the Policy Office at the U.S. Department of Labor where he managed DOL's deregulatory efforts and oversaw DOL's internal policy development think tank. He previously was a litigator and regulatory attorney at an international law firm representing clients before state and federal courts across the country. Following law school he served as a law clerk to The Honorable Edith Brown Clement of the U.S. Court of Appeals for the Fifth Circuit. Before law school, Jonathan was a policy analyst at the White House Council of Economic Advisers.
Jonathan received an A.B. in Economics from Washington University in St. Louis and a J.D. from the University of Virginia School of Law, where he was an Olin Law and Economic Fellow and won the John M. Olin Prize for best original law and economics research.
Arbitrator, American Arbitration Association & Former Deputy Director, Office of Federal Contract Compliance Programs (OFCCP), U.S. Department of Labor
Bob Gaglione is an Arbitrator for the American Arbitration Association based in San Diego, California. He also teaches law and politics courses at several universities in Southern California.
From 2019-2021, Mr. Gaglione was a Presidential appointee serving as Deputy Director of the Office of Federal Contract Compliance Programs (OFCCP) at the U.S. Department of Labor.
Mr. Gaglione has over 30 years of legal experience, including most recently, serving as founder and principal of Gaglione Law Group in San Diego, CA, where he practiced civil litigation including business, employment, insurance, real estate, and tort litigation. He previously served as a partner at the law firm of McInnis, Fitzgerald, Rees & Sharkey – one of San Diego’s largest law firms at the time.
For more than a decade, Mr. Gaglione has been as a member of the American Arbitration Association National Roster of Neutrals and Panel of Arbitrators. He served as an Arbitrator or Mediator in close to 100 cases before he went to work for the Department of Labor. .
Mr. Gaglione was elected by his peers to a three-year term on the San Diego County Bar Association Board of Directors from 2011-2014. He is a founding Director of the San Diego Chapter of the Federalist Society and a Chair of the Board of Advisors of this chapter. Mr. Gaglione is a Past President of the Todd American Inn of Court and a past Chair of the Bar History Committee and Litigation Section of the San Diego County Bar Association. He has also served on the Board of Directors of the San Diego-Imperial Council of Boy Scouts of America.
Mr. Gaglione is AV-rated by Martindale Hubbell and has been featured in Best’s Directory of Recommended Insurance Attorneys, Law & Business Directory of Environmental Attorneys and Who’s Who in American Law. Mr. Gaglione has been included in the San Diego Daily Transcript Top Attorneys, was named a Super Lawyer numerous times, and has made the list of Top Lawyers in San Diego Magazine.
Mr. Gaglione has taught law and political science courses at DeVry University, Keller Graduate School of Management, and JP Catholic University. He is also a frequent lecturer at the University of San Diego School of Law, San Diego State University, and California Western School of Law.
Mr. Gaglione hosted a radio show known as Independent Counsel: the news from a legal perspective for over seven years. He is also a frequent legal commentator on radio and television news programs.
Mr. Gaglione received a Bachelor of Science degree in Business Administration from the University of Southern California and a Juris Doctor degree from the University of San Diego School of Law. He is a member of the California, District of Columbia, and New York Bars. He is also admitted to practice before the United States Supreme Court, the Ninth Circuit Court of Appeals, and all United States District Courts in California.
Partner at K&L Gates, Former OFCCP Director, and President-Elect of the Bar Association of the District of Columbia
Craig E. Leen is a partner in the Washington, DC office of K&L Gates, where he is a member of the Labor, Employment, and Workplace Safety practice group. Mr. Leen is also the President-Elect of the Bar Association of the District of Columbia.
Mr. Leen was formerly the Director of the Office of Federal Contract Compliance Programs (OFCCP) at the U.S. Department of Labor, where he reported directly to the Secretary and Deputy Secretary of Labor.
Mr. Leen serves as a Professorial Lecturer in Law and Professor of Government Lawyering at The George Washington University Law School, as Vice Chair of the District of Columbia Advisory Committee to the U.S. Commission on Civil Rights, as Co-Chair of the DC Family Support Council, and as Chair of the Civil and Human Rights Committee of the Bar Association of the District of Columbia.
Prior to his federal service at OFCCP, Mr. Leen was the City Attorney of the City of Coral Gables, and before that was Chief of the Appeals Section and then Chief of the Federal Litigation Section at the Miami-Dade County Attorney's Office. Earlier in his career, Mr. Leen served as a law clerk to the Honorable Robert E. Keeton, United States District Judge, District of Massachusetts.
In recognition of his public service, Mr. Leen received the Secretary's Exceptional Achievement Award - Professional while at the U.S. Department of Labor, and the Paul S. Buchman Award for Outstanding Contribution in the Area of Legal Public Service while in local government.
Mr. Leen is admitted to practice law in the District of Columbia, Florida, Massachusetts, and New York, and is also board certified by The Florida Bar in city, county, and local government law.
Mr. Leen received his Juris Doctorate from Columbia Law School, graduating as a Harlan Fiske Stone Scholar, and having served as a teaching fellow in both Contracts and Torts. Mr. Leen received his Bachelor of Arts, cum laude, from Georgetown University, where he majored in both Government and Economics.
Executive Director, American Association for Access Equity and Diversity (AAAED)
Shirley J. Wilcher, Mount Holyoke Class of 1973, is a leading authority on equal opportunity and diversity policy. After graduating from Mount Holyoke cum laude with a degree in Philosophy and French, she went on to receive her MA in Urban Affairs and Policy Analysis from the New School for Social Research and her Juris Doctor degree from Harvard Law School. While a student at Mount Holyoke she received a certificat pratique de langue Francaise from the Université de Paris. While a student at Harvard, Wilcher began a career in civil rights as clerk for the NAACP Legal Defense and Educational Fund, Inc.
After earning her law degree, she became staff attorney for the National Women’s Law Center in Washington, D.C. She later moved to Capitol Hill as Associate Counsel for Civil Rights for the House Committee on Education and Labor. There, she was responsible for legislation and oversight of the federal agencies charged with enforcement of Title IX of the Education Amendments of 1972, Titles VI and VII of the Civil Rights Act of 1964, the Age Discrimination in Employment Act and other laws relating to equal employment opportunity and labor standards. She served as principal staff person on major investigations of the civil rights enforcement activities of the Equal Employment Opportunity Commission, the Office of Federal Contract Compliance Programs, U.S. Department of Labor, and the Office for Civil Rights, U.S. Department of Education. Wilcher left Capitol Hill to serve as the Director for State Relations and General Counsel for the National Association of Independent Colleges and Universities.
During the Clinton Administration, Wilcher served a near seven-year term as Deputy Assistant Secretary for the Office of Federal Contract Compliance Programs in the Labor Department. There she directed a federal program that emphasized the elimination of systemic barriers to equal employment opportunity, the glass ceiling, and inequities in corporate compensation systems, testifying before both House and Senate Labor Committees. Following her service in the Clinton Administration, Wilcher established her consulting firm, Wilcher Global LLC, and served as Executive Director of Americans for a Fair Chance, a consortium of six civil rights legal organizations formed to serve as an educational resource on affirmative action. Wilcher also taught as adjunct Associate Professor of Law at Washington College of Law of American University and worked as Attorney Advisor for the Equal Employment Opportunity Commission.
Currently, Wilcher is the Executive Director of the American Association for Access Equity and Diversity (AAAED), formerly the American Association for Affirmative Action (AAAA), founded in 1974. AAAED is an organization of equal opportunity, diversity and affirmative action professionals working for academic institutions, the private sector and government. Wilcher is also President and CEO of the Fund for Leadership, Equity, Access and Diversity (LEAD Fund), the nonprofit affiliate of AAAED.
Shirley is the recipient of the NAACP’s Keeper of the Flame Award, AAAED’s Rosa Parks Award and the special Drum Major for Justice and President’s Awards for AAAA/AAAED. Wilcher also served as the first Recording Secretary of the National Political Congress of Black Women, founded in 1984 by former U.S. Representative Shirley Chisholm, and was on the board of Wider Opportunities for Women. Wilcher is an Advisory Board Member, Oxford Women’s Leadership Program, Oxford, UK. In 2018, Shirley Wilcher received an Honorary Doctor of Laws from her alma mater, Mount Holyoke College.
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