Senior Litigation Counsel, New Civil Liberties Alliance
Jacob Huebert is Senior Litigation Counsel at the New Civil Liberties Alliance. He previously served as President and Director of Litigation of the Liberty Justice Center, where he successfully litigated cases to protect constitutional rights, including the landmark Janus v. AFSCME case, in which the U.S. Supreme Court upheld government employees’ First Amendment right to choose for themselves whether to pay money to a union. Jacob was also previously a Senior Attorney at the Goldwater Institute, where he litigated cases on free speech, property rights, and the Second Amendment.
Jacob and his work have appeared in numerous national media outlets, including the Wall Street Journal, New York Times, and Fox News Channel. He is also the author of a book, Libertarianism Today.
Jacob holds a B.A. in economics from Grove City College and a J.D. from the University of Chicago Law School. After law school, he served as a clerk to Judge Deborah Cook of the U.S. Court of Appeals for the Sixth Circuit. Jacob has served as an adjunct law professor at several law schools, teaching courses in advanced appellate advocacy, the law of payments, legal writing, and jurisprudence. Before working in public interest law, Jacob was a litigator in private practice.
Partner, Schaerr | Jaffe LLP
Erik Jaffe has been involved in appeals on a broad range of legal issues, including First Amendment challenges to campaign finance reform, Commerce Clause challenges to Health Care Reform and other federal legislation, Equal Protection Clause challenges to affirmative action in education, First Amendment challenges to school vouchers, Fifth Amendment challenges to takings of property, Second Amendment challenges to restrictions on gun ownership, and a wide variety of cases involving patents, copyrights, ERISA, securities fraud, federal preemption, environmental regulation, and other state and federal constitutional and statutory matters. He has represented businesses and non-profit groups, Judges, Senators, former government officials, Nobel Prize winners, and a broad cross-section of private individuals. Mr. Jaffe has been involved in over 120 Supreme Court matters, including filing over 30 cert. petitions, representing half-a-dozen parties on the merits, and filing over 70 amicus briefs at both the cert. and merits stages.
A 1990 graduate of the Columbia University School of Law, Mr. Jaffe was a law clerk to Judge Douglas H. Ginsburg of the United States Court of Appeals for the District of Columbia Circuit from 1990 to 1991. Following that clerkship he spent five years in litigation practice with the Washington, D.C. law firm of Williams & Connolly. In the summer of 1996 he left Williams & Connolly to clerk for Supreme Court Justice Clarence Thomas. At the end of that clerkship he started his own practice, and he was a sole practitioner from 1997 to 2018. He joined the firm of Schaerr | Jaffe LLP in 2018.
Distinguished Professor of Law, Wayne State University Law School
Professor Grano received his A.B. and J.D. degrees from Temple University in 1965 and 1968. He received an LL.M. from the University of Illinois in 1970. He was an Assistant District Attorney in Philadelphia in 1970-1971. In 1971 he joined the University of Detroit School of Law faculty, where he remained until 1975, serving as Interim Dean during the 1974-5 school year. He joined the Wayne State University Law School as a Professor of Law in 1975 and was named Distinguished Professor of Law in 1984. Professor Grano has also visited at the University of California Berkeley Law School, Cornell Law School, University of Illinois College of Law, and Temple University School of Law.
Judge, Contra Costa County Superior Court in California
Judge Haight was appointed to Contra Costa County Superior Court by Governor Pete Wilson in 1993.
Julius Kreeger Professor of Law and Criminology Emeritus, University of Chicago Law School
Norval Morris was the Julius Kreeger Professor of Law and Criminology Emeritus, former Dean of the University of Chicago Law School (1975-78), and founding director of the Law School’s Center for Studies in Criminal Justice.
President, Center for Research on Institutions & Social Policy, Inc. (CRISP)
Adam Walinsky was born on January 10, 1937 in New York City. He received his Bachelor of Arts from Cornell University in 1957 and his Bachelor of Laws from Yale University in 1961.
Career
Bar: New York 1962, United States District Court (southern district) New York 1971, United States Court 2nd District Court of Appea circuit) 1971, Supreme Court of the United States Court 1982. Law clerk United States Court Appeals for 2d Circuit, New York City, 1961-1962. Associate Winthrop, Stimson, Putnam & Roberts, New York City, 1962-1963.
Attorney Department Justice, Washington, 1963-1964.
Legislation assistant to Senator Robert F. Kennedy, Washington, 1964-1968. Partner Kronish, Lieb, Weiner & Hellman, New York City, 1971-1994.
President Center for Research on Institutions and Social Policy, 1994. Chairman New York State communications of Investigation, 1978-1981.
Former U.S. Education Secretary
William J. Bennett is one of America’s most important, influential, and respected voices on cultural, political, and education issues. A native of Brooklyn, New York, Dr. Bennett studied philosophy at Williams College (B.A.) and the University of Texas (Ph.D.) and earned a law degree (J.D.) from Harvard. He currently serves on the Advisory Board of Udacity, one of the world’s leading online education organizations, as well as the Advisory Board of Viridis Learning, Inc. He is a Senior Advisor to HigherEducation.com, which assists colleges and universities in transitioning in-classroom curriculum to a digital, scalable platform. Dr. Bennett is also a member of the Trump Leadership Council, a private citizen advisory group to the president.
Over the course of his professional life, in education, government and the private sector, Dr. Bennett has succeeded in a trifecta of American institutions. He is an award-winning professor in academia, having taught at Boston University, the University of Texas and Harvard; he is a three-time confirmed executive in the Ronald Reagan and George H.W. Bush administrations including holding two cabinet-level positions, Secretary of Education under Ronald Reagan and the Nation’s first Drug Czar under the first President Bush. He was formerly the host of Morning in America, one of the largest national talk shows in the country, and is now host of The Bill Bennett Show podcast. He is an official Fox News contributor appearing weekly on some of the nation’s highest-rated cable TV shows. He is also an experienced technology entrepreneur, having been the founding Chairman of K12.com a multi-billion dollar online education company.
In his various roles, Dr. Bennett is perceived—even by his adversaries—as a man of strong, reasoned convictions who speaks candidly, eloquently, and honestly about some of the most important issues of our time.
Dr. Bennett has written or co-authored more than 25 books including two New York Times number one best-sellers, one of them being the Book of Virtues, which was one of the most successful books of the 1990s. His latest book Tried By Fire: The Story of Christianity’s First Thousand Years has also quickly become a best-seller. His three-volume set of the history of the United States entitled America: The Last Best Hope, has been widely praised and adopted for use in schools around the country. The Sunday New York Times previously named Dr. Bennett the “leading spokesman of the Traditional Values wing of the Republican Party.” Although he is a well-known Republican, Dr. Bennett often has crossed party lines in order to pursue important common purposes.
Thanks to his government positions, his writings and speeches, and thousands of media appearances, William Bennett has had extraordinary influence on America’s political and social landscape. In many surveys and publications he has been named one of the most influential individuals in America. He is the recipient of more than 30 honorary degrees.
Dr. Bennett and his wife, Elayne, reside in North Carolina and Chevy Chase, Maryland and are the parents of two sons.
Partner, Sidley Austin LLP
PETER D. KEISLER is a former Acting Attorney General of the United States, a co-leader of Sidley’s Supreme Court and Appellate practice and a member of the firm’s Executive Committee. Peter has successfully represented some of the country’s largest companies in the telecommunications, transportation, energy and healthcare industries, as well as a host of national trade associations, providing extensive insight and experience gained from his more than 30 years of private and public sector experience.
Including him in its top tier of the nation’s appellate lawyers, Chambers USA 2019 remarks that Peter is “regarded among fellow appellate practitioners as a ‘very talented and incredibly polished oral advocate’ who is ‘careful, brilliant and all-around amazing.’”
Peter has argued a wide range of federal constitutional, statutory and administrative law cases. His practice representing clients before the U.S. Supreme Court, federal courts of appeals and federal district courts has included the leading role in the nation’s most important and successful commercial and regulatory cases of the past several years, including United States of America v. AT&T & Time Warner, UARG v. EPA, and AEP v. Connecticut. United States of America v. AT&T & Time Warner was one of the most prominent antitrust cases in recent memory. Peter successfully represented AT&T in the Justice Department’s appeal of the District Court decision rejecting the government’s attempt to enjoin AT&T’s acquisition of Time Warner. This was the first time in more than four decades that the government litigated to judgment a challenge to a vertical merger.
Peter’s arguments before the U.S. Supreme Court include:
Peter is widely recognized as a leader in his field. He is consistently named as a leading appellate lawyer by Chambers USA, Legal 500, the National Law Journal, Benchmark Litigation and Best Lawyers. Washingtonian magazine included Peter on its 2019 list of Washington’s Best Lawyers as one of the region’s “best legal minds” for his Supreme Court practice. Legal 500 also recognizes Peter for his work in the area of media, technology and telecommunications. Peter was recognized in the 2020 edition of Benchmark Litigation for his appellate practice, and has been since 2011. Peter is also included in the 2019 “Best Lawyers in America” directory, and has been recognized since 2011 for his appellate, commercial litigation and media law work. Peter was named Best Lawyers’ “2016 Washington DC Appellate Practice ‘Lawyer of the Year.’” In 2012, the National Law Journal/Legal Times named Peter to its list of “Champions & Visionaries,” a select group of “attorneys whose business foresight or legal acumen has expanded their firms, advanced the law or improved government.” The NLJ noted that Peter “has been front and center in almost every major energy lawsuit in the past two years.” Law360 named Peter one of its “MVPs” for Appellate Law (2014) and Energy Law (2011).
Peter started his career at Sidley as an associate in 1989 after completing a clerkship for Justice Anthony Kennedy. In 2002 he joined the Department of Justice (DOJ) as the Principal Deputy Associate Attorney General. Peter spent most of his more than five-year tenure at DOJ as the Assistant Attorney General for the Civil Division, and ultimately served as Acting Attorney General of the United States. He returned to Sidley in 2008.
David McIntosh is a leader for the principles of limited constitutional government and individual freedom. He is president of the Club for Growth, the leading advocate for economic liberty.
Former Congressman David McIntosh represented Indiana's 2nd Congressional District in the United States Congress from 1995-2001. As a Freshman, David chaired the Subcommittee on Regulatory Relief. He passed the Congressional Review Act and held extensive oversight and field hearings to build a record of public support for regulatory relief initiatives in energy, biotechnology, pharmaceutical, healthcare, transportation and technology sectors. Another issue that he championed was the elimination of the marriage penalty in the Federal Tax Code.
David served during the Reagan administration as special assistant to Attorney General Edwin Meese III, and as special assistant to President Reagan for Domestic Affairs. During the first Bush administration, he served as executive director of the President's Council on Competitiveness and assistant to the Vice President. The Competitiveness Council coordinated the cost/benefit review of major regulations and promoted legal reform measures.
David is a co-founder of the Federalist Society for Law and Public Policy and serves on the Board of Directors. He remains active with several free market and conservative think tanks and grassroots organizations. David has also had stints at the Hudson Institute and as a Professor of Economics at Ball State School of Business.
Prior to the Club for Growth, David was a partner at Mayer Brown, LLP in Washington, DC.
David graduated from the University of Chicago Law School in 1983, and Yale University, BA, cum laude, in 1980. He and his wife, Ruthie, are the proud parents of Ellie age 17 and Davey age 13.
Vice President for Legal Strategy, Stand Together
Casey Mattox is Vice President for Legal Strategy at Stand Together and Senior Advisor at
Americans for Prosperity. In these roles he advocates for and creates strategies and
partnerships to ensure a constitutionally limited government that protects the civil liberties of all
Americans. Prior to joining Stand Together and AFP Casey’s legal career focused on defending
the First Amendment rights of students, faculty, healthcare workers and religious organizations.
Casey has a J.D. from Boston College School of Law and an undergraduate degree from the
University of Virginia. You can find him on Twitter at @CaseyMattox_ and on LinkedIn at
@Casey-Mattox-ST.
Constitutional Scholarship Director and Senior Legal Analyst, Pacific Legal Foundation
Anastasia Boden is Director of Constitutional Scholarship at Pacific Legal Foundation, where she leads the organization’s Supreme Court commentary and directs scholarly analysis in support of the firm’s litigation. She has represented entrepreneurs and small businesses nationwide in challenges to onerous licensing regimes, anti-competitive titling restrictions, Certificate of Need (“competitor’s veto”) laws, and other forms of unnecessary red tape that block economic opportunity.
Prior to this role, Anastasia developed nearly a dozen constitutional challenges to Certificate of Need laws across the country, helping spur legislative reform in Montana, Pennsylvania, and West Virginia. Her victories include a ruling invalidating Houston’s busking restrictions, multiple appellate decisions expanding access to the courts for civil rights plaintiffs, and the legislative repeal of Virginia’s happy-hour advertising ban.
Her writings on law and liberty have been featured in USA Today, The Washington Post, The Wall Street Journal, the Los Angeles Times, the Chicago Tribune, Forbes, and more, and she has appeared on Headline News, CBS News, Fox News, ReasonTV, Newsmax, and John Stossel. In 2020, she was featured on Libertarian Party presidential candidate Jo Jorgensen’s Supreme Court shortlist.
Anastasia earned her BA with dean’s honors from the University of California, Santa Barbara, and her JD from Georgetown University Law Center, where she was research assistant to Professor Randy E. Barnett—the “intellectual godfather” of the constitutional challenge to Obamacare. She is the co-creator of the podcast Dissed, about infamous Supreme Court dissents. She authors the biweekly newsletter SCOTUS Scoop and the column, “In Dissent” for SCOTUSblog.
Partner, Wiley Rein, LLP
Megan L. Brown is a partner at Wiley Rein LLP. She has significant litigation, appellate and regulatory experience before state and federal courts and agencies.
Ms. Brown helps businesses respond to federal, state and local regulation and investigations raising administrative law, statutory interpretation, and constitutional issues, including the First Amendment.
Lecturer, Berkeley Law
Ann M. Ravel was nominated to the Federal Election Commission by President Barack Obama on June 21, 2013. After her appointment received the unanimous consent of the United States Senate, Ms. Ravel joined the Commission on October 25, 2013. She served as Chair of the Commission for 2015 and Vice Chair for 2014 before leaving in 2017.
Previously, Ms. Ravel served as Chair of the California Fair Political Practices Commission (FPPC), to which Governor Edmund G. Brown, Jr. appointed her. At the FPPC, Ms. Ravel oversaw the regulation of campaign finance, lobbyist registration and reporting, and ethics and conflicts of interest related to officeholders and public employees. During her tenure at the FPPC, Ms. Ravel was instrumental in the creation of the States’ Unified Network (SUN) Center, a web-based center for sharing information on campaign finance.
Before joining the FPPC, Ms. Ravel served as Deputy Assistant Attorney General for Torts and Consumer Litigation in the Civil Division of the United States Department of Justice. Ms. Ravel also worked as an attorney in the Santa Clara County Counsel’s Office, ultimately serving as the appointed County Counsel from 1998 until 2009. Ms. Ravel represented the County and its elected officials, provided advice on the state Political Reform Act, and initiated groundbreaking programs in elder abuse litigation, educational rights, and consumer litigation on behalf of the Santa Clara County government and the community.
Ms. Ravel has served as an elected Governor on the Board of Governors of the State Bar of California, a member of the Judicial Council of the State of California, and Chair of the Commission on Judicial Nominees Evaluation. In 2014, she was named a California Attorney of the Year by California Lawyer magazine for her work in Government law, and in 2007, the State Bar of California named Ms. Ravel Public Attorney of the Year for her contributions to public service.
Ms. Ravel received her B.A. from the University of California, Berkeley and her J.D. from the University of California, Hastings College of the Law. Ms. Ravel is the daughter of a Latin American immigrant mother and an American father. She was raised in Latin America before her family settled in the San Francisco Bay area, which she considers home.
Research Fellow, American Institute for Economic Research
Peter C. Earle is an economist and writer who joined AIER in 2018. Prior to that spent over 20 years as a trader and analyst at a number of securities firms and hedge funds in the New York metropolitan area, as well as running a gaming and cryptocurrency consultancy.
His research focuses on financial markets, cryptocurrencies, monetary policy-related issues, the economics of games, and problems in economic measurement. He has been quoted by the Wall Street Journal, Bloomberg, Reuters, CNBC, Grant’s Interest Rate Observer, NPR, and in numerous other media outlets and publications.
Pete holds an MA in Applied Economics from American University, an MBA (Finance), and a BS in Engineering from the United States Military Academy at West Point. Follow him on Twitter.
Principal, Ely & Company, Inc.
Bert Ely has specialized in deposit insurance and banking structure issues since 1981. In 1986, he became an early predictor of the S&L crisis and a taxpayer bailout of the FSLIC. In 1991, he was the first person to correctly predict the non-crisis in commercial banking; in 1992, he predicted an eventual taxpayer bailout of the Japanese banking system.
Bert continuously monitors conditions in the banking and S&L industries, monetary policy, and the growing federalization of credit risk. He has helped to draft legislation to enact the cross-guarantee concept for privatizing banking regulation and its related deposit insurance and systemic risks. He has testified on numerous occasions before congressional committees on banking issues and he often speaks on these matters to bankers and others.
Bert first established his consulting practice in 1972. Before that, he was the chief financial officer of a public company, a consultant with Touche, Ross & Company, and an auditor with Ernst & Ernst. He received his MBA from the Harvard Business School in 1968 and his Bachelor's degree in economics in 1964 from Case Western Reserve University.
Senior Counsel, Willkie Farr & Gallagher LLP
J. Christopher “Chris” Giancarlo is senior counsel at Willkie Farr & Gallagher LLP, based in the firm’s New York office. Chris served as the thirteenth Chairman of the U.S. Commodity Futures Trading Commission (CFTC), where he oversaw regulation of the futures, options and swaps derivatives markets. Chris was also a successful entrepreneur helping GFI Group Inc. grow into a leading trading platform and technology vendor to global markets for OTC swaps and other derivatives and managing GFI’s successful private equity financing and IPO.
Chris is a renowned blockchain technology advocate and key contributor to the global discourse on cryptocurrencies and digital assets. During his tenure at the CFTC (2014-2019), Chris oversaw the first bitcoin futures products entering the marketplace and applied a “Do No Harm” regulatory approach towards blockchain technology.
Chris has testified often about financial and derivatives markets before the U.S. Congress and EU Parliament and is a frequent guest on broadcast radio and television, including BloombergTV, CNBC, Fox Business and the BBC, as well as podcasts such as “Unchained” and “CoinDesk.” Chris has written and spoken extensively on public policy, legal and other matters involving technology and the financial markets and has authored numerous white papers, articles and op-eds that have been published in The Wall Street Journal, Financial Times, Cato Journal, New York Law Journal, Les Echos and Coinbase.
Chris has over 45,000 followers on Twitter as @giancarloMKTS where he is known as “CryptoDad.”
Senior Fellow, Mises Institute
Alex J. Pollock is a Senior Fellow with the Mises Institute, providing thought and policy leadership on financial issues and the study of financial systems. His work includes cycles of booms and busts, financial crises with their political responses, housing finance, government-sponsored enterprises, risk and uncertainty, central banking, banking and financial regulation, corporate governance, retirement finance, student loans, and the politics of finance.
He previously served as the Principal Deputy Director of the Office of Financial Research in the U.S. Treasury Department 2019-2021. He was a Distinguished Senior Fellow with the R Street Institute 2015-2019 and 2021, and a resident fellow at the American Enterprise Institute, 2004-2015. Among the many aspects of his AEI work, he developed the One Page Mortgage Form to give borrowers in clear form the key information they need in order to know what they are committing themselves to. He was President and CEO of the Federal Home Loan Bank of Chicago from 1991 to 2004. There he invented the Mortgage Partnership Finance program, which successfully created front-end mortgage credit risk sharing beginning in 1997. His decades of banking experience include being a Visiting Scholar at the Federal Reserve Bank of St. Louis, 1991.
Pollock was a director of the CME Group 2004-2019 and of Ascendium Education Group 1989-2019. He is a director and past-chairman of the Great Books Foundation and a past president of the International Union for Housing Finance.
He is the co-author of Surprised Again! - The COVID Crisis and the New Market Bubble (2022), and the author of Finance and Philosophy—Why We’re Always Surprised (2018) and Boom and Bust: Financial Cycles and Human Prosperity (2011), as well as numerous articles and Congressional testimony.
Pollock is a graduate of Williams College, the University of Chicago, and Princeton University.
His work is available on alexjpollock.com.
Partner, Sullivan & Cromwell LLP
Eric Kadel is engaged in a wide variety of corporate, transactional and regulatory matters. He is a member of the Firm’s Corporate and Finance, Financial Services, Investment Management, Alternative Investment Management, Cybersecurity, and Commodities, Futures and Derivatives Groups. With regard to financings, Mr. Kadel regularly represents participants in capital markets transactions, and dealers and end users in connection with structuring and documenting a wide variety of swaps and other derivatives, including equity, credit default and commodity swaps, options and forwards. Mr. Kadel’s work in the investment management area includes advising public and private investment companies and investment advisers on a wide variety of transactional, regulatory, compliance and other matters, including registration and regulation. Mr. Kadel also advises clients of the Firm regarding developments in the laws regulating the financial services industry and on cybersecurity issues. Mr. Kadel is currently an adjunct professor at George Washington University Law School.
In addition, Mr. Kadel is one of the principal partners in the Firm’s International Trade and Investment practice. He counsels and represents clients on questions about U.S. economic sanctions, including those administered by the Treasury Department’s Office of Foreign Assets Control (“OFAC”), United States antiboycott requirements under the Export Administration Regulations administered and enforced by the Commerce Department’s Office of Antiboycott Compliance within the Bureau of Industry and Security, Bank Secrecy Act/anti‐money laundering laws and the U.S. Foreign Corrupt Practices Act (“FCPA”). Mr. Kadel’s practice includes analysis of proposed transactions and business relationships; due diligence and design and review of compliance procedures and strategies; and internal investigations, voluntary disclosures and government enforcement actions. Mr. Kadel also regularly advises clients regarding questions arising under Exon-Florio and the transaction review process administered by the Committee on Foreign Investment in the United States (“CFIUS”), and has represented clients before CFIUS on many national security reviews.
Partner & Chair, National Security Practice, Wiley Rein LLP
Of Counsel, Sullivan & Cromwell LLP
A member of the Firm’s Financial Services Group, Adam Szubin focuses his practice on financial services and national security, with particular emphasis on economic sanctions, export controls, money laundering and counter terrorism.
Prior to joining Sullivan & Cromwell, Mr. Szubin served for two years as Acting Treasury Department Under Secretary for Terrorism and Financial Intelligence. During his nearly 13 year tenure at the Treasury, Mr. Szubin served as the Director of Treasury’s Office of Foreign Assets Control (OFAC) for nine years and Senior Advisor to the Under Secretary for Terrorism and Financial Intelligence.
As the Acting Under Secretary, he led the policy, enforcement, regulatory, and intelligence functions of the Treasury Department aimed at combating threatening states, international terrorist organizations, proliferators of weapons of mass destruction, narcotics traffickers, and others posing a threat to U.S. national security or foreign policy. As the lead national security official at the Treasury Department, Mr. Szubin also advised the Treasury Secretary and National Security Council on a wide range of economic and security issues, including select matters before the Committee on Foreign Investment in the United States (CFIUS).
Earlier in his career, Mr. Szubin served as Counsel to the Deputy Attorney General at the Department of Justice where he also worked as a trial attorney in the Civil Division and was a member of the Terrorism Litigation Task Force.
Chief Oversight Counsel, Senate Committee on Finance
Chris Armstrong is Deputy Chief Oversight Counsel to Chairman Orrin G. Hatch on the Senate Committee on Finance. He previously worked for Chairman Dave Camp on the House Committee on Ways and Means and Senator Charles E. Grassley. He serves on the Executive Committee of the Federalist Society’s Federalism & Separation of Powers Practice Group. The views expressed herein are the author’s own, and do not necessarily reflect those of Chairman Hatch or the Finance Committee.
Partner, Gibson Dunn & Crutcher LLP
Michael Bopp is a partner in the Washington, D.C. office of Gibson, Dunn & Crutcher. He is Chair of the Public Policy Practice Group and a member of the Firm’s White Collar Defense and Investigations and Crisis Management Practice Groups, where he chairs the firm’s Congressional Investigations Subgroup. He also chairs the firm’s Financial Markets Crisis Group, a multi-disciplinary group formed to address client concerns stemming from the credit and capital markets crisis. Mr. Bopp’s practice focuses on congressional, internal corporate, and other government investigations, public policy consulting in a variety of fields, and managing and responding to major crises involving multiple government agencies and branches.
From 2006-2008, Mr. Bopp served as Associate Director of OMB and was responsible for overseeing budgets and coordinating regulatory, legislative, and other policy for approximately $150 billion worth of spending for various government agencies, including the Departments of Treasury, Homeland Security, Transportation, Justice, Housing and Urban Development, and Commerce, the General Services Administration, the U.S. Securities and Exchange Commission and the Commodity Futures Trading Commission.
From 2003 to 2006, he served as Staff Director and Chief Counsel of the Committee on Homeland Security and Governmental Affairs, one of the Senate's largest committees and most expansive in terms of jurisdiction. He oversaw more than 100 hearings, led numerous investigations and was a primary drafter of key legislation, including the Intelligence Reform and Terrorism Prevention Act of 2004, the most significant reform of the intelligence community in more than 50 years, and 2006 legislation strengthening port security and overhauling the Federal Emergency Management Agency. He also directed a 50-person investigation of the failure of preparations and response to Hurricane Katrina. The investigation included 22 hearings, 325 witnesses, more than 800,000 pages of documents and an 800 page report.
Mr. Bopp served as Legislative Director and General Counsel to Senator Susan Collins of Maine from 1999 to 2003. He was Chief Counsel to the Subcommittee on Oversight and Investigations of the Committee on Education and the Workforce in the U.S. House of Representatives from 1998 to 1999, where he investigated alleged improper activities undertaken by Teamsters' officials. Before that, he worked on the Congressional investigation of campaign finance abuses as senior investigative counsel to the House Committee on Government Reform and Oversight and as counsel for the Senate Committee on Governmental Affairs. He also previously served as counsel on the Senate Permanent Subcommittee on Investigations. Mr. Bopp served as outside general counsel to the campaign to re-elect Senator Susan Collins.
Mr. Bopp received his law degree cum laude in 1992 from Harvard Law School where he was Articles Editor on the Journal of Law and Public Policy. He graduated magna cum laude, with honors, in public policy from Brown University in 1987.
General Counsel, Office of Speaker Mike Johnson
Ashley Callen has served in the legislative and executive branches for nearly 25 years. Currently, she serves as General Counsel to Speaker Mike Johnson. Prior to her current role, she was General Counsel to Majority Leader Steve Scalise. She got to know Leader Scalise during the 117th Congress serving as the top staffer on the Select Subcommittee on the Coronavirus Crisis as well as serving then-Ranking Member James Comer as Deputy Staff Director of the Oversight and Reform Committee. Ashley has also served as a top oversight and investigations staffer at the House Agriculture Committee (Chairman Mike Conaway), the Science Space and Technology Committee (Chairman Lamar Smith), and the House Judiciary Committee (Ranking Member Doug Collins). She began her career on the Senate side working for her home state senator, Strom Thurmond. After the Senator retired in 2003, Ashley worked for the Air Force General Counsel’s Office. Ashley earned her BA in English at the University of South Carolina and her JD at the Antonin Scalia Law School. She lives in Arlington, VA with her husband and three children
Chief Investigative Counsel, Senate Finance Subcommittee
Partner, Kirkland & Ellis LLP
Allison Murphy is a partner in the Government, Regulatory & Internal Investigations Practice Group in the Washington, D.C., office of Kirkland & Ellis LLP.
Allison has been a legal and strategic counselor on high-profile investigations with broad reach across the government and private sector, including as White House Associate Counsel under President Obama. She has managed congressional investigations from all angles. Most recently, Allison was Chief Oversight Counsel of the House Select Subcommittee on the Coronavirus Crisis, Majority Staff. She also served in the Senate as Counsel for the Permanent Subcommittee on Investigations. Previously, Allison was Attorney Advisor to the Federal Energy Regulatory Commission’s Division of Enforcement. She began her legal career as an associate at Wilmer Cutler Pickering Hale & Dorr.
United States Attorney, Eastern District of Kentucky
Robert M. Duncan, Jr. is the United States Attorney for the Eastern District of Kentucky. He was nominated by President Donald Trump on August 3, 2017, and confirmed by the United States Senate on November 9, 2017.
Prior to his appointment, Duncan had served for more than a decade as an Assistant United States Attorney in the Eastern District of Kentucky. Beginning in 2011 and continuing until his appointment as United States Attorney, Duncan focused on the prosecution of Organized Crime Drug Enforcement Task Force cases, working with federal, state, and local law enforcement personnel to disrupt and dismantle complex drug trafficking and money laundering organizations operating in the District and elsewhere. From 2007 to 2013, Duncan served as coordinator of the office’s Project Safe Neighborhoods Program, a Department of Justice initiative to reduce gun and gang crime through education, community outreach, and prosecution.
Attorney, Sheehey Furlong & Behm P.C.
Christina E. Nolan, the former United States Attorney for Vermont, is a principal in the firm. She focuses on complex civil litigation, defense of government enforcement actions, false claims act defense and enforcement, white collar and serious felony criminal defense, and internal investigations. Having previously served as a state and federal prosecutor, Christina has tried more than a dozen cases to juries, regularly handled evidentiary hearings before federal and state trial courts, and appeared several times before the United States Court of Appeals for the Second Circuit.
Christina, a native Vermonter, was employed from 2010 to 2021 at the U.S. Attorney’s Office in Vermont (USAO), serving first as an Assistant U.S. Attorney in the Criminal Division for nearly 8 years, and then leading the office as U.S. Attorney from November 2017 until March 2021. Following the bipartisan recommendation of Senator Patrick Leahy and Governor Phil Scott, Christina was nominated for the chief law enforcement officer post by the President and unanimously confirmed by the U.S. Senate. As U.S. Attorney, Christina supervised all federal criminal and civil investigations and prosecutions in Vermont, served as chief spokesperson for federal law enforcement and the USAO, and partnered with community leaders and government officials to promote criminal justice policies and launch community-based and law enforcement initiatives.
U.S. Attorney General William Barr selected Christina as one of a dozen U.S. Attorneys to sit on the Attorney General’s Advisory Committee, which advises the Attorney General on all aspects of criminal and civil policy. Christina chaired the Advisory Committee’s Controlled Substances Subcommittee (CSS), and was a member of its Health Care Fraud and Domestic Violence Working Groups. Christina also cochaired the Justice Department’s initiative to combat sexual harassment in housing during the pandemic and helped lead the Attorney General’s effort to implement police reform pursuant to the 2020 Executive Order on Safe Policing for Safe Communities. In her capacity as leader of the CSS, Christina testified before the U.S. Senate Judiciary Committee concerning fentanyl enforcement policy and proposed fentanyl legislation. In Vermont, Christina sat on Governor Scott’s Opioid Coordination, Substance Misuse, and Emergency Preparedness Councils and cochaired the Vermont Human Trafficking Task Force.
As U.S. Attorney, Christina actively supervised a range of criminal and civil cases involving drug trafficking; firearms and violence; human trafficking; organized crime; child exploitation; wire, health care, bank, and securities fraud; embezzlement and money laundering; government contracting fraud; medical malpractice; and federal False Claims Act enforcement. Under Christina’s leadership, the USAO resolved criminal felony antikickback charges and civil False Claims Act claims against Purdue Pharma L.P. as part of the largest criminal resolution ever reached against a pharmaceutical company; charged the largest fraud case in Vermont history relating to the EB-5/Jay Peak financial scandal in the Northeast Kingdom and obtained a guilty plea from the lead defendant; and secured unprecedented False Claims Act civil and criminal settlements against healthcare companies that garnered national attention.
As a federal prosecutor, Christina investigated and prosecuted financial, narcotics, violent, child exploitation, and other crimes. She tried six federal cases to juries, each trial resulting in conviction. Among her most notable cases was the prosecution and conviction of Richard Monroe for the drug-related murder of University of Vermont student, Kevin DeOliveira, in Burlington. Monroe is serving a 25-year sentence. As Assistant U.S. Attorney, Christina was also tasked with oversight of all opioid trafficking prosecutions and investigations in Eastern Vermont and served as the USAO’s Violent Crime Coordinator.
Before joining the USAO, Christina served as an Assistant District Attorney in Middlesex County, Massachusetts, where she tried numerous cases to juries and prosecuted a variety of state crimes, including DUI, drug trafficking, firearms, and domestic violence matters. From 2005 to 2009, Nolan worked as a litigation associate at Goodwin Procter, LLP, a large Boston law firm. In that role, she represented white collar defendants, conducted internal investigation, supervised complex civil litigation, and played a managerial role in the representation of a corporate executive in a high-profile federal securities fraud prosecution. The securities fraud case ended in dismissal of charges against the client.
After law school, Christina clerked for The Honorable F. Dennis Saylor, IV of the United States District Court for the District of Massachusetts.
Christina graduated magna cum laude from Boston College Law School in 2004, where she served a Senior Editor on the Boston College Law Review. She earned her Bachelor’s degrees in political science and history from the University of Vermont, where she graduated summa cum laude.
Daniel Levin Professor of Public Policy, The University of Chicago
Tomas J. Philipson is the Daniel Levin Professor of Public Policy Studies at the University of Chicago Harris School of Public Policy and directs the Becker Friedman Institute’s Program on Foundational Research in Health Care Markets and Policies within the Health Economics Initiative. He is also an associate member of the Department of Economics and a former senior lecturer at the Law School. His research focuses on health economics, and he teaches master's and PhD courses in microeconomics and health economics at the University.
Philipson is a US citizen but was born and raised in Sweden where he obtained his undergraduate degree in mathematics at Uppsala University. He received his MA and PhD in economics from the Wharton School at the University of Pennsylvania. He has been a visiting faculty member at Yale University and a visiting senior fellow at the World Bank.
Philipson has served in several public sector positions. He served in the second Bush Administration as the senior economic advisor to the head of the Food and Drug Administration and subsequently as the senior economic advisor to the head of the Centers for Medicare and Medicaid Services. He served as a health care advisor to Senator John McCain during his campaign for President of the United States. He was appointed by the Speaker of the US House of Representatives to the Key Indicator Commission created by the Affordable Care Act. He has served as a scientific advisor to Congress on the 21st Century Cures legislation and on the steering committee of Vice President Biden's Cancer Moon Shot Initiative.
Philipson is the recipient of numerous international and national research awards. He has twice been the recipient of the highest honor of his field: the Kenneth Arrow Award of the International Health Economics Association (for best paper in the field of health economics). In addition, he was awarded the Garfield Award by Research America, The Prêmio Haralambos Simeonidisand from the Brazilian Economic Association, and the Distinguished Economic Research Award from the Milken Institute. Philipson has been awarded numerous grants and awards from both public and private agencies, including the National Institutes of Health, the National Science Foundation, the Rockefeller Foundation, the Alfred P. Sloan Foundation, the John M. Olin Foundation, and the Royal Swedish Academy of Sciences.
Philipson is a founding editor of the journal Forums for Health Economics & Policy of Berkeley Electronic Press and has been on the editorial board of the journal Health Economics and The European Journal of Health Economics. His research has been published widely in all leading academic journals of economics such as the American Economic Review, Journal of Political Economy, Quarterly Journal of Economics, Journal of Economic Theory, Journal of Health Economics, Health Affairs, and Econometrica.
Philipson is a fellow, board member, or associate of a number of other organizations outside the University of Chicago, including the National Bureau of Economic Research, the American Enterprise Institute, the Manhattan Institute (where he was chairman of Project FDA), the Heartland Institute, the Milken Institute, the RAND Corporation, and the USC Shaeffer Center for Health Economics and Policy. At the University of Chicago, he is affiliated with the John M. Olin Program of Law & Economics, the George J. Stigler Center for the Study of the Economy and the State, the Population Research Center, and NORC. He has served on the University-wide Council on Research and on the Advisory Committee to the University's Office of Intellectual Property and Technology Transfer.
Philipson has done executive consulting for both private corporations, including many US Fortune 100 companies, as well as government organizations domestically and internationally. This has included work for the President's Council on Science and Technology, the National Academy of Sciences, and the UK National Health Service. It has also included work for multi-lateral organizations such as the World Bank, the World Intellectual Property Organization, and the OECD. In 2007 he co-founded Precision Heath Economics LLC, which was sold in 2015 to Precision for Medicine Group LLC.
Philipson’s research is frequently disseminated through the popular press. He is a monthly op-ed contributor for Forbes magazine and frequently appears in numerous popular media outlets such as CNN, CBS, FOX News, Bloomberg TV, National Public Radio, New York Times, Wall Street Journal, Businessweek, The Economist, Washington Post, Investor's Business Daily, and USA Today. He is a frequent keynote speaker at many domestic and international health care events and conferences.
Senior Fellow, Cato Institute
Jeffrey A. Singer is a senior fellow at the Cato Institute and works in the Department of Health Policy Studies. He is principal and founder of Valley Surgical Clinics Ltd., the largest and oldest group private surgical practice in Arizona, and has been in private practice as a general surgeon for more than 35 years.
He is also a visiting fellow at the Goldwater Institute in Phoenix. Singer is a member of the Board of Scientific Advisors of the American Council on Science and Health. From 1994 to 2016, he was a regular contributor to Arizona Medicine, the journal of the Arizona Medical Association. He served on the Advisory Board Council of the Center for Political Thought and Leadership at Arizona State University from 2014 to 2018 and is an adjunct instructor in the Program on Political History and Leadership at ASU. He writes and speaks extensively on regional and national public policy, with a specific focus on the areas of health care policy and the harmful effects of drug prohibition.
He received his BA from Brooklyn College (City University of New York) and his MD from New York Medical College. He is a fellow of the American College of Surgeons.
University Professor of Law and Executive Director, Liberty & Law Center, Antonin Scalia Law School, George Mason University
David Bernstein holds a University Professorship chair at the Antonin Scalia Law School, where he has been teaching since 1995. He has also been a visiting professor at the University of Michigan, Georgetown University, William & Mary, Brooklyn Law School, the University of Turin, and Hebrew University. Professor Bernstein teaches Constitutional Law, Evidence, and Products Liability.
A prolific author, Professor Bernstein often challenges the conventional wisdom with prodigious research and sharp, original analysis. He is the author of five books, and coauthor of two more. Professor Bernstein’s book Rehabilitating Lochner was praised across the political spectrum as “intellectual history in its highest form,” a “fresh perspective and a cogent analysis,” “delightful and informative,” “sharp and iconoclastic,” and “a terrific work of historical revisionism.” Columnist George Will praised Bernstein’s most recent book, Classified, The Untold Story of Racial Classification in America, as “perhaps the most consequential American book of 2022.”
Professor Bernstein has also written dozens of articles and essays published in major law reviews, including the California Law Review, Columbia Law Review, Michigan Law Review, and Yale Law Journal. An article he coauthored, Defending Daubert: It’s Time to Amend Federal Rule of Evidence 702, directly inspired a pending amendment to Rule 702.
Professor Bernstein blogs at the Instapundit.com, the Times of Israel, and the Volokh Conspiracy. He is a graduate of the Yale Law School, where he was senior editor of the Yale Law Journal and a John M. Olin Fellow in Law, Economics, and Public Policy.
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