Cocktails & Crypto
Chicago Lawyers Chapter & In-House Counsel Network
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The Federalist Society is pleased to announce its In-House Counsel Network. This group joins our 15 highly successful Practice Groups to broaden our programming and help us more effectively serve the legal community by providing a place for thoughtful, balanced discussion of the most pressing issues the business community faces today.
This Network will focus on the issues that attorneys in for-profit companies face in day-to-day practice, like properly identifying the client, managing outside firms, earning “cooperation” status during criminal investigations while managing exposure to civil liability, understanding the Foreign Corrupt Practices Act, document retention and all matters of e-discovery, employment issues, tracking legal issues in corporate governance, and more.
Katherine Kirkpatrick Bos, Patrick Daugherty, Daniel J. Davis, Alexander Hughes, Julius L. Loeser, Dane Lund, John O. McGinnis
Chicago Lawyers Chapter & In-House Counsel Network
**Registration for this event is now closed. If you still wish to attend in-person, please...
Christopher Ekren, Mary Kissel, Sir Iain Duncan Smith
China offers a paramount opportunity for corporate investment, due to its market size, supply chain...
Chad Boudreaux, Elisebeth Collins, Harold H. Kim, Cheryl M. Stanton, Theodore W. Ullyot
2022 National Lawyers Convention
In the last decades, American businesses have faced growing challenges from within and without. For...
Chad Boudreaux, Elisebeth Collins, Harold H. Kim, Cheryl M. Stanton, Theodore W. Ullyot
2022 National Lawyers Convention
In the last decades, American businesses have faced growing challenges from within and without. For...
Britt Biles, Luke Cass, Nicholas Marr
Last fall, Deputy Attorney General Lisa Monaco announced significant changes to Department of Justice policies...
General Counsel and Chief Compliance Officer, Arete Advisors, LLC
Partner, DeMarco Law, PLLC
Joseph V. DeMarco is a partner at DeMarco Law, PLLC where he focuses on counseling clients on complex issues involving information privacy and security, theft of intellectual property, computer intrusions, on-line fraud, and the lawful use of new technology. His years of experience in private practice and in government handling the most difficult cybercrime investigations handled by the United States Attorney’s Office have made him one of the nation’s most sought-after lawyers on Internet crime and the law relating to emerging technologies. In addition to his counsel practice, Mr. DeMarco serves as an Arbitrator, resolving complex commercial and high-technology disputes between businesses. He is on the National Panel of Neutrals of the American Arbitration Association (AAA) and Federal Arbitration, Inc. (FedArb).
From 1997 to 2007, Mr. DeMarco served an Assistant United States Attorney for the Southern District of New York, where he founded and headed the Computer Hacking and Intellectual Property (CHIPs) Program, a group of five prosecutors dedicated to investigating and prosecuting violations of federal cybercrime laws and intellectual property offenses. Under his leadership, CHIPs prosecutions grew from a trickle in 1997 to a top priority of the United States Attorney’s Office, encompassing all forms of criminal activity affecting e-commerce and critical infrastructures including computer hacking crimes; transmission of Internet worms and viruses; electronic theft of trade secrets; illegal use of “spyware”; web-based frauds; unlawful Internet gambling; and criminal copyright and trademark infringement offenses. As a recognized thought leader in the field, Mr. DeMarco was frequently asked to counsel prosecutors and law enforcement agents regarding novel investigative and surveillance techniques and methodologies, and regularly provided advice to the United States Attorney concerning the Office’s most sensitive computer-related investigations. In 2001, Mr. DeMarco also served as a visiting Trial Attorney at the Department of Justice Computer Crimes and Intellectual Property Section in Washington, D.C., where he focused his work on Internet privacy, gaming, and theft of intellectual property.
Since 2002, Mr. DeMarco has served as an Adjunct Professor at Columbia Law School, where he teaches the upper-class Internet and Computer Crimes seminar. He has been invited to speak throughout the world on cybercrime, e-commerce, and IP enforcement. He has lectured on the subject of cybercrime at Harvard Law School, the Practicing Law Institute, the National Advocacy Center, and at the FBI Academy in Quantico, Virginia, and has served as an instructor on cybercrime to judges attending the New York State Judicial Institute.
Prior to joining the United States Attorney’s Office, Mr. DeMarco was a litigation associate at Cravath, Swaine & Moore in New York City, where he concentrated his work on intellectual property, antitrust, and securities law issues for various high-technology clients. Prior to that, Mr. DeMarco served as law clerk to the Honorable J. Daniel Mahoney, United States Circuit Judge for the Second Circuit Court of Appeals.
Mr. DeMarco holds a J.D. magna cum laude from New York University School of Law. At NYU he was a member of the NYU Law Review. He received his B.S.F.S. summa cum laude from the Edmund A. Walsh School of Foreign Service at Georgetown University.
Deputy General Counsel and Head of Litigation, Kraken Digital Asset Exchange
Matt Turetzky is Deputy General Counsel and Head of Litigation at Kraken. He oversees all litigation involving Kraken and its global affiliates. Matt is based in California's San Francisco Bay Area.
Matt was previously Director and Associate General Counsel at Coinbase (COIN), where he led the Consumer, Commercial, and International Litigation teams. He oversaw significant litigation operations and spend, directing a large team and a complex global docket—including class actions, consumer arbitrations, and precedent-setting appeals that reached the U.S. Supreme Court.
Before Coinbase, Matt was the first associate at The Norton Law Firm, a San Francisco Bay Area litigation boutique representing plaintiffs and defendants in complex civil disputes. Earlier in his career, he practiced law in the San Francisco and Washington, D.C. offices of Sheppard Mullin and Dickstein Shapiro (now Blank Rome), after clerking for the Hon. Lawrence J. Block at the U.S. Court of Federal Claims.
Matt received his law degree from Duke University School of Law where he was the Editor-in-Chief of Duke's Law & Technology Review. He received his bachelor's degree in Finance from the University of Florida. He is licensed to practice law in California, Washington, D.C., and numerous federal trial and appellate courts.
Partner, Eimer Stahl LLP
Collin Vierra is a Partner whose nationwide practice focuses on complex trial and appellate litigation, commercial and consumer mass arbitration, and counseling. Collin’s practice touches on a wide range of issues, including data privacy and AI, discrimination, products liability, commercial disputes, antitrust and unfair competition, environmental law, and government regulation. A graduate of the Massachusetts Institute of Technology (MIT), Stanford University, and Stanford Law School with degrees in engineering and economics, clients trust Collin with their most high-stakes and cutting-edge disputes. Among others, his legal acumen has been recognized by Law.com/The Recorder (Lawyer on the Fast Track), Legal 500 (recognizing Collin’s “particular prowess in mass arbitration defense”), Benchmark Litigation (identifying the “best and brightest litigators across the U.S.”), and Top Verdict (identifying Collin as having obtained one of the top verdicts in California in 2024).
Collin chairs Eimer Stahl’s Mass Arbitration Practice Group, and clients call him a “leading lawyer” of mass arbitration defense. His creative solutions to novel arbitration issues have saved his clients tens of millions of dollars in arbitration costs and damages. A featured speaker on mass arbitration issues, he has presented to numerous institutions including the American Bar Association, the Federalist Society, the U.S. Chamber Litigation Center, Stanford Law School, MassArbCon, the Association of Corporate Counsel, and the Data Privacy and Cyber Security ConfEx. Collin has helped companies respond to over 200,000 individual demands for arbitration across numerous industries, including the social networking, consumer hardware, and consumer entertainment industries. He has obtained tens of thousands of dismissals and withdrawals of mass arbitration claims without any settlement payment or judgment to claimants, and has secured hundreds of thousands of dollars in fee-shifting awards for his corporate clients against both claimants and their counsel. Collin has arbitrated before numerous institutions including JAMS, the AAA, and NAM. His expert analysis on mass arbitration issues has been published in Law360.
Collin also co-chairs Eimer Stahl’s Data Privacy and AI Practice Group, in which role he is a trusted resource for clients navigating cutting-edge data privacy, AI, and other technological disputes. He regularly defends and counsels clients on privacy issues relating to web technologies and platforms such as Facebook/Meta Pixel, LinkedIn Insight Tag, X/Twitter Pixel, TikTok Pixel, Google Analytics, TDD/The Trade Desk Universal Pixel, ADNXS/AppNexus, New Relic, DoubleClick, OpenX, LiveRamp, TripleLift, mobile SDKs, and others. He has counseled and/or defended clients in matters involving a garden variety of state and federal data privacy statutes and constitutional claims, including under the Illinois Biometric Information Privacy Act (BIPA), the Texas Capture or Use of Biometric Identifiers Act (CUBI), the California Invasion of Privacy Act (CIPA), the California Consumer Privacy Act (CCPA), the Video Privacy Protection Act (VPPA), the Gramm-Leach-Bliley Act (GLBA), the Children’s Online Privacy Protection Act (COPPA), and others.
Collin also has substantial experience managing high-stakes discovery disputes. On the defense side, he was previously responsible for coordinating discovery in one of the nation’s largest multidistrict litigation (MDL), multistate Attorneys General (AGs), and multiagency actions. In 2024, Tennessee Governor Bill Lee appointed Collin as discovery counsel in State of Tennessee ex rel. Jonathan Skrmetti v. Meta Platforms, Inc., in which the State seeks to hold Meta responsible for the harmful impacts of Instagram on teens. In 2025, Governor Lee also appointed Collin as discovery counsel in Keira v. Tennessee Department of Children’s Services, which concerns the State’s foster care system. Collin’s insights on pressing discovery issues have also been published in Law360.
Collin has ample experience in both state and Article I and III federal court and with all aspects of litigation, including successfully trying claims from complaint to jury verdict. He has defended major public and private companies in consumer class actions, multi-district litigations (MDL), and Judicial Council Coordination Proceedings (JCCP). Collin has also defended these companies in civil and criminal investigations by the U.S. Department of Justice (DOJ), the U.S. Federal Trade Commission (FTC), the Federal Bureau of Investigation (FBI), the U.S. Securities and Exchange Commission (SEC), the U.S. Food and Drug Administration (FDA), the U.S. House of Representatives, the U.S. Senate, and the Attorneys General of more than 45 states and the District of Columbia.
His academic background includes a Bachelor of Science in Engineering from the Massachusetts Institute of Technology (MIT) where he was a member of the Pi Tau Sigma Mechanical Engineering Honors Society and an engineering apprentice in the Pappalardo Laboratory. He is currently a member of the MIT Free Speech Alliance. He also holds a Master of Arts in Economics from Stanford University where he was a Gregory Terrill Cox Fellow in the John M. Olin Program in Law and Economics. Collin obtained his Juris Doctor from Stanford Law School.
Collin is licensed to practice in California and Texas.
Partner, Holtzman Vogel
Mohammad “Mo” Jazil is a partner with Holtzman Vogel. His broad litigation practice includes state and federal constitutional cases, financial disputes, environmental disputes, white-collar criminal matters, and government investigations. Mohammad has served as first chair in federal and state court trials. He has briefed and argued dispositive motions and appeals before the federal courts, state appellate courts, and state supreme courts. He has also briefed cases before the U.S. Supreme Court, though he has never argued a case there.
Chambers USA calls Mohammad “a very good thinker,” “fantastic,” and “an excellent litigator.”
Since the summer of 2018, Mohammad has represented two Florida Governors and four Florida Secretaries of State on election-related and redistricting matters before federal and state trial courts, the Florida Supreme Court, the Eleventh Circuit, and the U.S. Supreme Court. Notably, this work includes wins in nine federal cases related to Florida’s 2018 recounts; the successful defense of Florida’s felon re-enfranchisement program; federal and state-court decisions upholding Florida’s most recent congressional plan; and the defense of various election-related statutes.
Mohammad represents other public officials as well. He has represented two Speakers of the Florida House of Representatives on issues as varied as cannabis regulation and transportation policy. And he has represented Florida’s Surgeon General, members of Florida’s Boards of Medicine and Osteopathic Medicine, and the head of Florida’s Medicaid agency on health-policy issues.
Finally, Mohammad routinely represents companies and individuals on a variety of issues. This work includes pricing and tax disputes involving some of the country’s largest companies, commercial disputes where he has obtained and collected on eight-figure trial judgments, and criminal proceedings.
David Johnson is a partner at Holtzman Vogel and focuses his practice on political and election law regulatory compliance, appellate law, and state attorneys general investigations and litigation.
Prior to joining the firm, David was Policy Director and General Counsel to the Republican Attorneys General Association, as well as serving as president for the Rule of Law Defense Fund and Center for Law and Policy. In these roles, he worked closely with Republican attorneys general and their staff on developing and advancing policy priorities. He has also worked with President Trump's administration and other leading Republican political and conservative policy organizations with respect to key policy initiatives.
Previously, David was Senior Counsel with the Office of the Indiana Attorney General where he advised the Attorney General on strategy with respect to litigation, communications, complex legal objectives, and policy goals. Prior to joining the Indiana Office of Attorney General, David served as Corporation Counsel for Lawrence, Indiana. In that role, David advised on myriad issues including municipal bonding, human resources, and capital projects. And before that, David served as Deputy General Counsel and Policy Director for Governor Mike Pence, providing strategic counsel to the Governor on litigation, policy, crisis communications, and legislative strategy, as well as guiding policy efforts on gaming issues in Indiana.
He earned his AB from Wabash College, and his JD from the Indiana University McKinney School of Law.
Partner, Holtzman Vogel
Mark Pinkert is a litigation and appellate partner with Holtzman Vogel. He represents clients at every stage of litigation, in state and federal courts around the country. He has extensive experience in constitutional law, administrative law, political law, antitrust, white collar defense, and complex commercial disputes. Additionally, Mark maintains an active practice focused on religious freedom, First Amendment rights, and combatting antisemitism, especially on college campuses.
Mark is a formidable writer and advocate. He has drafted letters, white papers to government agencies, legal memoranda, regulatory comments, complaints, dispositive motions, motions in limine, appellate briefs, and several briefs in the U.S. Supreme Court. His incisive and persuasive writing style has helped him earn key victories for his clients. Mark has argued a Daubert motion in a multi-billion-dollar environmental dispute and was recently appointed lead counsel by the Eleventh Circuit Court of Appeals to represent an indigent petitioner in a habeas corpus appeal. Mark’s legal commentary has been published in The Wall Street Journal, National Review, Times of Israel, Daily Business Review, University of Miami Law Review, and many others.
Mark is also an adept legal strategist, advising some of the largest companies in the world on their most pressing issues. Rather than merely react to problems, he provides holistic thinking and anticipates issues before they arise. He helps clients develop proactive plans of action that mitigate risks, avoid conflict, and reduce costs.
Before joining Holtzman Vogel, Mark worked at a global law firm and clerked for the Honorable Adalberto Jordan (11th Cir.) and the Honorable Roy K. Altman (S.D. Fla.). Clerking at both the trial and appellate levels has given him rare insight into the federal court system and has sharpened his advocacy.
At Yale Law School, Mark was an Articles Editor for the Yale Law Journal and an editor for the Yale Journal of Law & Humanities. He was also a research assistant and taught constitutional law to high school students in New Haven.
Partner, Holtzman Vogel Baran Torchinsky & Josefiak PLLC
Brandon Smith is a partner at Holtzman Vogel, based in Tennessee, where he focuses on government investigations, white collar matters, and specialty litigation. A seasoned government leader and legal strategist, Brandon has played a central role in shaping conservative policy and litigation at the highest levels of state government.
Before joining the firm, Brandon served as Chief of Staff and Assistant Solicitor General in the Tennessee Attorney General’s Office. In that role, he led multi-state litigation, high-profile constitutional challenges, and efforts to counter federal overreach and ESG-related corporate activism. He worked closely with nearly every Republican Attorney General’s Office in the country, coordinating litigation, strategy, and multi-state policy efforts.
Earlier in his career, Brandon served as Executive Director of Legislative and Regulatory Affairs for Kentucky Governor Matt Bevin and as Policy Director to Kansas Governor Sam Brownback, where he helped drive key legislative and budget initiatives. He also held roles as Deputy Director of the Federalist Society and as an adjunct professor at American University.
Brandon’s career has been defined by a commitment to defending federalism, advancing conservative governance, and shaping legal and policy fights that matter.
Solicitor General, Iowa Office of the Attorney General
Eric Wessan serves as Iowa’s Solicitor General in the Iowa Attorney General’s Office. In that
role, Wessan leads Iowa’s litigation before State and federal appellate courts, including the Iowa
and U.S. Supreme Courts. Before that role, Wessan worked on complex commercial litigation at
two large law firms in Chicago. Wessan also served as a law clerk for the Honorable James C.
Ho on the U.S. Court of Appeals for the Fifth Circuit and for the Honorable John F. Kness on the
U.S. District Court for the Northern District of Illinois. Wessan is a graduate of the University of
Chicago Law School, with honors, and of the University of Chicago.
Chief Legal Officer, Cboe Digital
Katherine Kirkpatrick is the Chief Legal Officer of Cboe Digital. Prior to joining Cboe Digital, Katherine was General Counsel of Maple Finance, a capital-efficient corporate debt marketplace which facilitates crypto institutional borrowing via liquidity pools funded by the DeFi ecosystem. Before going “full-time crypto,” Katherine was a partner in the Special Matters and Government Investigations practice at King & Spalding, where she co-chaired the firm’s Financial Services Industry of Focus and the FinTech, Blockchain, and Cryptocurrency working group. In private practice, Katherine represented corporations and individuals under investigation by a large number of regulators, including the DOJ, SEC, CFTC, NFA, OFAC, FINRA, state AGs, the NY DFS, the Senate’s Permanent Subcommittee on Investigations, the OCC, and the Fed. Katherine has extensive experience with digital assets and is a frequent writer and speaker on DeFi, cryptocurrency regulatory developments, anti-money laundering, and blockchain-related compliance. Katherine’s comments have been featured in publications such as the Financial Times, the American Banker, Coindesk, Reuters, and many others. In 2021, Katherine was recognized as “40 Under 40” by both Global Investigations Review and Benchmark Litigation.
Katherine earned her undergraduate degree from the University of Southern California and her J.D. from Notre Dame Law School, where she serves on the Executive Advisory Committee of the board.
Partner, Foley & Lardner LLP
Patrick Daugherty is a senior corporate and securities law partner of Foley & Lardner LLP, based in Chicago. He also is an adjunct professor of Cornell Law School, where he teaches in residence each Fall Term.
Mr. Daugherty is a member of the Bar in New York, the District of Columbia, North Carolina, Michigan and Illinois. Credentialing organizations have named him “Lawyer of the Year” in both Michigan (2007) and Illinois (2022). A graduate of Northwestern University and of Cornell Law School (Class of 1981), he clerked for SDNY Chief Judge Lloyd F. MacMahon for a year before entering private practice. Mr. Daugherty also served as Counsel to SEC Commissioner Edward H. Fleischman in Washington, D.C., from 1986 to 1989. An Emeritus Member of the American Law Institute, he is the author, co-author or editor of several books and many articles on securities regulation and new financial products.
Mr. Daugherty believes that he was the first lawyer inside the SEC to join the Federalist Society when he became a member in the late 1980s. A mainstay of the Chicago Lawyers Chapter, at the national level of the Society he serves on the Executive Committee for the Financial Services & E-Commerce Practice Group.
Partner, Katten Muchin Rosenman LLP
Clients trust Dan’s experience to help mitigate risks in the face of investigations and enforcement actions and to assess rules issued by financial agencies. From futures commission merchants to swap dealers to derivatives clearing organizations, he is well-positioned to advise on potential enforcement priorities, staff relief and exemptive orders, and submit comments on proposed financial agency rules. Dan has particular experience in handling fraud-related allegations under the Commodity Exchange Act (CEA) and can help clients develop compliance practices for meeting regulatory requirements. He also has successfully challenged rulemakings by financial agencies, such as the Securities and Exchange Commission’s (SEC) first rulemaking under the Dodd-Frank Wall Street Reform and Consumer Protection Act regarding proxy access and the SEC’s attempt to regulate fixed indexed annuities.
In Dan’s role at the CFTC, he assisted with the creation and development of LabCFTC, the agency’s hub for engagement with the fintech community to promote innovation and fair competition. He is highly experienced with helping crypto exchanges, bank and other fintech entities in working with distributed ledger technologies. He also provides counsel on meeting regulatory requirements when bringing new products to market. Dan had a distinguished career at the CFTC, receiving the Chairman’s Award for Excellence in 2019. This award is the CFTC’s highest honor, given to one employee annually in recognition of extraordinary accomplishments and superior service dedicated to realizing the vision, mission and values of the CFTC.
Dan has the full range of litigation experience, having practiced in federal and state court, defending clients in arbitration and jury trial, and arguing ten cases before the federal courts of appeals. He excels at crisis litigation, having successfully obtained a rarely granted writ of mandamus on behalf of the CFTC. Dan uses his extensive litigation experience to advise clients on both litigation and regulatory matters.
Previously, Dan served as counsel to the Assistant Attorney General, Civil Division for the US Department of Justice. He also clerked for the Honorable Douglas H. Ginsburg, Court of Appeals for the District of Columbia Circuit. While in law school, Dan served as Executive Editor of The University of Chicago Law Review.
Chief Legal Officer, Lindy Labs
Alex is the Chief Legal Officer for Lindy Labs, a fintech startup focused on empowering investors by allowing them to harness the power of decentralized finance to grow their wealth responsibly and support charity. Prior to joining Lindy Labs, Alex worked for several major international law firms, clerked for a federal judge, and deployed to Mosul, Iraq as an officer in the US Army. He's a fierce advocate for human liberty and free, fair markets at home and abroad.
Retired, Winston & Strawn LLP
Jerry Loeser is of counsel in the Chicago office of Winston & Strawn, and his practice focuses on banking regulation. He has extensive experience in counseling financial services clients on, among other things, bank acquisitions, privacy, financial modernization, the USA PATRIOT Act, Basel II and III, lending limits, capital, trust, affiliate transactions, and Federal Reserve, OCC, FDIC, and CFPB regulations.
Prior to working at large corporate law firms, Jerry was chief regulatory and compliance counsel for Comerica Bank, where he also served as senior vice president and deputy general counsel and as general counsel of its retail bank division. Before that, he served as chief regulatory in-house counsel at Wells Fargo & Co. Jerry began his legal career advising the Board of Governors of the Federal Reserve System in Washington, D.C.
Core Contributor & DAO Architect, Alliance DAO
Dane Lund is a Core Contributor and DAO architect for the Web3 Accelerator Alliance DAO.
After graduating Harvard Law School, Dane became a litigator for Wilkie Farr focused on corporate governance and shareholder rights - looking at the inner workings of board rooms. And then became an investment banker where he financed private equity transactions before becoming a DAO architect for Alliance.
George C. Dix Professor in Constitutional Law, Northwestern University Pritzker School of Law
John O. McGinnis is a graduate of Harvard College and Harvard Law School where he was an editor of the Harvard Law Review. He also has an MA degree from Balliol College, Oxford, in philosophy and theology. Professor McGinnis clerked on the U.S. Court of Appeals for the District of Columbia. From 1987 to 1991, he was deputy assistant attorney general in the Office of Legal Counsel at the Department of Justice. He is the author of Accelerating Democracy: Transforming Government Through Technology (Princeton 2013) and Originalism and the Good Constitution (Harvard 2013) (with M. Rappaport). He is a past winner of the Paul Bator award given by the Federalist Society to an outstanding academic under 40. He has been listed by the United States on the roster of panelists who may be called upon to decide World Trade Organization Disputes.
Global Technology Counsel, Sony Corporation of America
Christopher Ekren is Global Technology Counsel for Sony. Based out of Silicon Valley, he is currently the lead US in house counsel for key Sony advanced technology initiatives in the areas of Artificial Intelligence (Sony AI, Inc.) , Gene Therapy (Sony Biotechnology Inc.), Satellite Communications (Sony Space Communications Inc.), Semiconductor and Component Technologies (Sony Semiconductor Solutions of America), Sony’s Research Labs US operations, as well as engineering and product development activities part of Sony’s North American core electronics business. He has concurrent global roles supporting Sony’s technology standards, open source software and special technology projects.
Executive Vice President and Senior Policy Advisor, Stephens, Inc.
Mary Kissel is Executive Vice President and Senior Policy Advisor at Stephens Inc., where she provides advice on geopolitical risk and macroeconomic trends to Stephens clients and the Stephens management team. Previously, she served as Senior Advisor to Secretary of State Michael R. Pompeo from October 2018 to January 2021. Prior to joining the State Department, she had a long and distinguished career on The Wall Street Journal editorial board, including stints as chief foreign policy commentator in New York City and Asia-Pacific editorial page editor, based in Hong Kong. Ms. Kissel hosts the Nixon Seminar on Conservative Realism and National Security, is a member of the Council on Foreign Relations, and serves on the boards of the American Australian Council, The Marathon Initiative, and RXO, Inc. She is a graduate of Harvard University and the Johns Hopkins School of Advanced International Studies.
Member of Parliament for Chingford & Woodford Green, House of Commons
The Rt Hon Sir Iain Duncan Smith is the Conservative MP for Chingford and Woodford Green, and has been an MP continuously since 1992.
Between 1997 and 2001, he was Shadow Secretary of State for Social Security and then Shadow Secretary of State for Defence. From 2001 to 2003, he was leader of the Conservative Party.
He took a lead role in the Vote Leave campaign ahead of the EU referendum on 23 June 2016, appearing many times in the media and public debates, and is now working alongside colleagues to ensure the Government achieves a smooth and rapid exit from the EU and forms a new relationship based on trade, continuing friendship and cooperation.
Before entering politics, he served in the Scots Guards from 1975 to 1982. During this time, he saw service in Northern Ireland and Rhodesia/ Zimbabwe. After leaving the army, he worked in industry, first with the GUC, then as a Director of a property company and subsequently as a Director at the publishing company Jane’s Information Group.
Executive Vice President and Chief Legal Officer, HII
Chad Boudreaux is executive vice president and chief legal officer for HII, America’s largest military shipbuilding company and a provider of professional services to partners in government and industry.
Serving in this role since 2020, he has overall leadership responsibility for HII’s Law Department and outside counsel, which provide a broad range of legal advice and support for the company’s business activities, including corporate governance matters, compliance, litigation management, and mergers and acquisitions.
Previous to this appointment, Boudreaux managed HII’s litigation docket and oversaw HII’s nationally recognized compliance program as the company’s first chief compliance officer. He joined HII in 2011 as corporate vice president for litigation, investigations and compliance. In 2014, he led the Law Department team that won the coveted ACC Value Challenge Award for HII’s compliance program, a program that has since been heralded as “a roadmap for other companies.”
Before joining HII, he practiced law at Baker Botts LLP, where he established the law firm’s Global Security and Corporate Risk Counseling practice group. He has also previously held various high-ranking positions in the U.S. government to include serving as the deputy chief of staff of the U.S. Department of Homeland Security and multiple leadership positions at the U.S. Department of Justice.
Boudreaux earned a Bachelor of Arts degree from Baylor University and a Juris Doctor degree from the University of Memphis School of Law. He is a recipient of the U.S. Justice Department’s Special Commendation for Outstanding Service for his work on high-stakes litigation for the United States.
Former General Counsel, WWE; Former Deputy General Counsel & Chief Compliance Officer, Caterpillar Inc.; Former Assistant Attorney General for Legal Policy, U.S. Department of Justice
Ms. Collins has more than twenty years of global experience, including as the General Counsel of a publicly traded company, Deputy General Counsel and Chief Compliance Officer of a Fortune 100 company, and a senior government official.
Ms. Collins most recently was the General Counsel & Corporate Secretary of WWE, Inc., a publicly traded sports entertainment company. There, she provided advice and counsel on all legal issues, participating as a key member of the company's senior leadership team. She was previously at Caterpillar Inc. as a Deputy General Counsel and Chief Compliance Officer. At Caterpillar, Ms. Collins led teams of well over 100 legal and compliance professionals around the world. Her teams provided legal and compliance advice across a wide range of issues, including commercial, compliance, employment, securities, disclosures, corporate governance, internal investigations, data privacy, technology development, tax, and M&A. Ms. Collins also led global trade compliance and litigation. In 2021, Ms. Collins served as a Managing Director of a Caterpillar subsidiary while working in Geneva, Switzerland. Prior to joining Caterpillar, Ms. Collins was the Lead Counsel, Autonomous Systems Division, at The Boeing Company.
Ms. Collins has also served in numerous roles in the United States government, most recently from 2012-2018 as a Board Member of the Privacy and Civil Liberties Oversight Board, a national security oversight agency. She was twice unanimously confirmed to that position by the U.S. Senate. Ms. Collins also served four years at the United States Department of Justice and was unanimously confirmed as Assistant Attorney General for Legal Policy in 2008. At the Department of Justice, she provided daily counsel to the Attorney General and Deputy Attorney General on a wide range of issues, including civil and criminal law, national security, and judicial nominations. She also served as the Department’s Regulatory Policy Officer. Ms. Collins also served in 2009 as Republican Chief Counsel, Supreme Court Nominations, for the U.S. Senate, Committee on the Judiciary.
Ms. Collins has also worked as a law firm Partner, Counsel, and Associate at a litigation boutique, mid-size firm, and global full-service firm.
Ms. Collins clerked for the Honorable Laurence H. Silberman, Senior Circuit Judge for the United States Court of Appeals for the D.C. Circuit, and for Chief Judge Lee H. Rosenthal of the United States District Court for the Southern District of Texas.
President, U.S. Chamber of Commerce Institute for Legal Reform
Harold H. Kim was elected president of the U.S. Chamber Institute for Legal Reform (ILR) in December 2019, after nearly 12 years of holding a senior leadership position within ILR. Under Kim, the Institute will continue to be a comprehensive, multifaceted global legal reform campaign with cutting-edge advocacy, research, communications, and voter education initiatives.
Kim is responsible for providing strategy, policy guidance, programmatic management, and leadership for ILR’s comprehensive program aimed at improving the nation’s litigation climate.
Before joining ILR, Kim was special assistant to the president in the White House Office of Legislative Affairs. There he served as former President George W. Bush’s liaison to the Senate on matters involving national security, the judiciary, civil justice reform, intellectual property, and criminal law enforcement. During his tenure, he helped win confirmation for several of President Bush’s judicial and executive nominees and worked closely with Congress to advance the administration’s policy priorities.
From 2003 to 2007, Kim served as counsel to the Senate Judiciary Committee, deputy chief counsel to the late ranking member Arlen Specter, and senior committee counsel for then-Chairman Orrin Hatch. During the passage of the 2005 Class Action Fairness Act, Kim was the committee’s chief civil counsel and advised Republican members during the bill’s committee markup and Senate floor action. He also advised committee members in the areas of asbestos, class action, medical malpractice, and bankruptcy litigation reform.
Prior to government service, Kim was a senior litigation associate at the Washington, D.C.-based law firm of Patton Boggs, LLP.
Kim is an elected member of the American Law Institute and the International Association of Defense Counsel. He is a graduate of the University of California, Irvine, and earned a J.D. from The Catholic University of America.
Chief Legal and Government Affairs Officer, BrightStar Care
Cheryl M. Stanton is Chief Legal and Government Affairs Officer at BrightStar Care. Prior to joining BrightStar Care, she served as Administrator of the Department of Labor’s Wage and Hour Division. She was sworn in as WHD’s Administrator by U.S. Secretary of Labor Alexander Acosta on April 29, 2019.
Stanton brought a wealth of experience to WHD, most recently having served as the Executive Director of the South Carolina Department of Employment and Workforce. Under her leadership, South Carolina’s jobless rate dropped to its lowest point in at least 50 years. During that time period, South Carolina’s workforce system helped place over 500,000 South Carolinians into jobs. Stanton also partnered with her colleague at the Department of Corrections to create a job re-entry program for ex-offenders, receiving national accolades. She also oversaw two major information technology modernization projects that improved customer service and increased efficiencies for employees.
Stanton served as the White House’s principal legal liaison to the DOL under President George W. Bush. She is a graduate of Williams College, and earned her law degree from the University of Chicago Law School.
Executive Vice President and General Counsel, National Football League
Ted Ullyot serves as Executive Vice President and General Counsel for the National Football League and is the founder of Highway 50 Ventures, LLC, an investment and advisory firm. A lawyer by background, Ullyot was General Counsel of Facebook from 2008 to 2013. He served in the administration of President George W. Bush, including in the White House as an Associate Counsel and as Deputy Staff Secretary, and in the Justice Department as Chief of Staff to Attorney General Gonzales.
Ullyot began his career as a law clerk, first for Judge J. Michael Luttig of the U.S. Court of Appeals for the Fourth Circuit and then for U.S. Supreme Court Justice Antonin Scalia. He was a litigation partner in the Washington, D.C., office of Kirkland & Ellis LLP.
At other points in his career, Ullyot served as General Counsel of ESL Investments, Inc.; as General Counsel of AOL Time Warner Europe; as a board member at AutoZone Inc.; and as a partner in the venture capital firm Andreessen Horowitz.
He is a member of the board of visitors of the Federalist Society; a member of the University of Chicago Law School Council; and a board member of the U.S. Supreme Court Historical Society.
Ullyot graduated from the University of Chicago Law School, after doing his undergraduate work at Harvard. He and his family live in Northern California.
Executive Vice President and Chief Legal Officer, HII
Chad Boudreaux is executive vice president and chief legal officer for HII, America’s largest military shipbuilding company and a provider of professional services to partners in government and industry.
Serving in this role since 2020, he has overall leadership responsibility for HII’s Law Department and outside counsel, which provide a broad range of legal advice and support for the company’s business activities, including corporate governance matters, compliance, litigation management, and mergers and acquisitions.
Previous to this appointment, Boudreaux managed HII’s litigation docket and oversaw HII’s nationally recognized compliance program as the company’s first chief compliance officer. He joined HII in 2011 as corporate vice president for litigation, investigations and compliance. In 2014, he led the Law Department team that won the coveted ACC Value Challenge Award for HII’s compliance program, a program that has since been heralded as “a roadmap for other companies.”
Before joining HII, he practiced law at Baker Botts LLP, where he established the law firm’s Global Security and Corporate Risk Counseling practice group. He has also previously held various high-ranking positions in the U.S. government to include serving as the deputy chief of staff of the U.S. Department of Homeland Security and multiple leadership positions at the U.S. Department of Justice.
Boudreaux earned a Bachelor of Arts degree from Baylor University and a Juris Doctor degree from the University of Memphis School of Law. He is a recipient of the U.S. Justice Department’s Special Commendation for Outstanding Service for his work on high-stakes litigation for the United States.
Former General Counsel, WWE; Former Deputy General Counsel & Chief Compliance Officer, Caterpillar Inc.; Former Assistant Attorney General for Legal Policy, U.S. Department of Justice
Ms. Collins has more than twenty years of global experience, including as the General Counsel of a publicly traded company, Deputy General Counsel and Chief Compliance Officer of a Fortune 100 company, and a senior government official.
Ms. Collins most recently was the General Counsel & Corporate Secretary of WWE, Inc., a publicly traded sports entertainment company. There, she provided advice and counsel on all legal issues, participating as a key member of the company's senior leadership team. She was previously at Caterpillar Inc. as a Deputy General Counsel and Chief Compliance Officer. At Caterpillar, Ms. Collins led teams of well over 100 legal and compliance professionals around the world. Her teams provided legal and compliance advice across a wide range of issues, including commercial, compliance, employment, securities, disclosures, corporate governance, internal investigations, data privacy, technology development, tax, and M&A. Ms. Collins also led global trade compliance and litigation. In 2021, Ms. Collins served as a Managing Director of a Caterpillar subsidiary while working in Geneva, Switzerland. Prior to joining Caterpillar, Ms. Collins was the Lead Counsel, Autonomous Systems Division, at The Boeing Company.
Ms. Collins has also served in numerous roles in the United States government, most recently from 2012-2018 as a Board Member of the Privacy and Civil Liberties Oversight Board, a national security oversight agency. She was twice unanimously confirmed to that position by the U.S. Senate. Ms. Collins also served four years at the United States Department of Justice and was unanimously confirmed as Assistant Attorney General for Legal Policy in 2008. At the Department of Justice, she provided daily counsel to the Attorney General and Deputy Attorney General on a wide range of issues, including civil and criminal law, national security, and judicial nominations. She also served as the Department’s Regulatory Policy Officer. Ms. Collins also served in 2009 as Republican Chief Counsel, Supreme Court Nominations, for the U.S. Senate, Committee on the Judiciary.
Ms. Collins has also worked as a law firm Partner, Counsel, and Associate at a litigation boutique, mid-size firm, and global full-service firm.
Ms. Collins clerked for the Honorable Laurence H. Silberman, Senior Circuit Judge for the United States Court of Appeals for the D.C. Circuit, and for Chief Judge Lee H. Rosenthal of the United States District Court for the Southern District of Texas.
President, U.S. Chamber of Commerce Institute for Legal Reform
Harold H. Kim was elected president of the U.S. Chamber Institute for Legal Reform (ILR) in December 2019, after nearly 12 years of holding a senior leadership position within ILR. Under Kim, the Institute will continue to be a comprehensive, multifaceted global legal reform campaign with cutting-edge advocacy, research, communications, and voter education initiatives.
Kim is responsible for providing strategy, policy guidance, programmatic management, and leadership for ILR’s comprehensive program aimed at improving the nation’s litigation climate.
Before joining ILR, Kim was special assistant to the president in the White House Office of Legislative Affairs. There he served as former President George W. Bush’s liaison to the Senate on matters involving national security, the judiciary, civil justice reform, intellectual property, and criminal law enforcement. During his tenure, he helped win confirmation for several of President Bush’s judicial and executive nominees and worked closely with Congress to advance the administration’s policy priorities.
From 2003 to 2007, Kim served as counsel to the Senate Judiciary Committee, deputy chief counsel to the late ranking member Arlen Specter, and senior committee counsel for then-Chairman Orrin Hatch. During the passage of the 2005 Class Action Fairness Act, Kim was the committee’s chief civil counsel and advised Republican members during the bill’s committee markup and Senate floor action. He also advised committee members in the areas of asbestos, class action, medical malpractice, and bankruptcy litigation reform.
Prior to government service, Kim was a senior litigation associate at the Washington, D.C.-based law firm of Patton Boggs, LLP.
Kim is an elected member of the American Law Institute and the International Association of Defense Counsel. He is a graduate of the University of California, Irvine, and earned a J.D. from The Catholic University of America.
Chief Legal and Government Affairs Officer, BrightStar Care
Cheryl M. Stanton is Chief Legal and Government Affairs Officer at BrightStar Care. Prior to joining BrightStar Care, she served as Administrator of the Department of Labor’s Wage and Hour Division. She was sworn in as WHD’s Administrator by U.S. Secretary of Labor Alexander Acosta on April 29, 2019.
Stanton brought a wealth of experience to WHD, most recently having served as the Executive Director of the South Carolina Department of Employment and Workforce. Under her leadership, South Carolina’s jobless rate dropped to its lowest point in at least 50 years. During that time period, South Carolina’s workforce system helped place over 500,000 South Carolinians into jobs. Stanton also partnered with her colleague at the Department of Corrections to create a job re-entry program for ex-offenders, receiving national accolades. She also oversaw two major information technology modernization projects that improved customer service and increased efficiencies for employees.
Stanton served as the White House’s principal legal liaison to the DOL under President George W. Bush. She is a graduate of Williams College, and earned her law degree from the University of Chicago Law School.
Executive Vice President and General Counsel, National Football League
Ted Ullyot serves as Executive Vice President and General Counsel for the National Football League and is the founder of Highway 50 Ventures, LLC, an investment and advisory firm. A lawyer by background, Ullyot was General Counsel of Facebook from 2008 to 2013. He served in the administration of President George W. Bush, including in the White House as an Associate Counsel and as Deputy Staff Secretary, and in the Justice Department as Chief of Staff to Attorney General Gonzales.
Ullyot began his career as a law clerk, first for Judge J. Michael Luttig of the U.S. Court of Appeals for the Fourth Circuit and then for U.S. Supreme Court Justice Antonin Scalia. He was a litigation partner in the Washington, D.C., office of Kirkland & Ellis LLP.
At other points in his career, Ullyot served as General Counsel of ESL Investments, Inc.; as General Counsel of AOL Time Warner Europe; as a board member at AutoZone Inc.; and as a partner in the venture capital firm Andreessen Horowitz.
He is a member of the board of visitors of the Federalist Society; a member of the University of Chicago Law School Council; and a board member of the U.S. Supreme Court Historical Society.
Ullyot graduated from the University of Chicago Law School, after doing his undergraduate work at Harvard. He and his family live in Northern California.
Partner, Womble Bond Dickinson
Britt Whitesell Biles is a trial lawyer and a partner in the Business Litigation Group. Resident in the firm’s Washington, D.C. office, Britt has extensive experience at the highest levels of the federal government, having served in senior legal roles at the U.S. Securities and Exchange Commission (SEC), the White House, and the U.S. Small Business Administration (SBA). She has nearly two decades of experience representing and advising clients in high-stakes government investigations and bet-the-company litigation.
Most recently, Britt served as the General Counsel of the SBA. She was appointed in 2020 to manage the immense and unprecedented legal needs that arose from the SBA’s role as a lead agency in the federal government’s economic response to COVID-19; the Agency was under intense pressure to implement and administer trillion-dollar loan and grant programs established by the CARES Act and faced unparalleled levels of scrutiny from Congress, the media, and the public. As the SBA’s chief legal officer and third-highest-ranking official, Britt led the SBA’s legal function, managing 140 lawyers and staff across the country.
Britt was the principal legal advisor to the Administrator on the CARES Act and related legislation. She supervised the drafting of regulations and guidance that implemented the Paycheck Protection Program and designed key aspects of the loan review and forgiveness process. She worked closely with senior officials across the federal government to establish data-sharing and cooperation agreements to facilitate the investigation and prosecution of fraud and abuse in the COVID-19 loan and grant programs. Britt oversaw the litigation of cases arising under the CARES Act and devised the SBA’s strategy for responding to oversight, audits, and inquiries. She regularly counseled senior Agency officials in connection with Congressional testimony and briefings, including before the House Committee on Oversight and Reform, the House and Senate Small Business Committees, the House Financial Services Committee, and the House Select Subcommittee on the Coronavirus Crisis. In addition to acting as a legal advisor, Britt performed a crisis management role, advising the SBA on its communications strategy and engagement with external stakeholders. Britt, along with her staff in the Office of General Counsel, received the 2020 Administrator’s Award for Outstanding Achievement.
Before she was appointed General Counsel of the SBA, Britt served as a Special Assistant to the President and Associate White House Counsel. During her tenure at the White House, she provided legal advice on financial regulation and reform, consumer protection, privacy, transportation, and congressional oversight matters. She also was the White House’s legal liaison to the Departments of Treasury, Transportation, and Housing and Urban Development, as well as independent financial services and consumer protection agencies, including the SEC, the Federal Trade Commission (FTC), and the Consumer Financial Protection Bureau.
Britt also recently held a senior enforcement position at the SEC. As Assistant Chief Litigation Counsel, she investigated and litigated securities matters involving insider trading, cybersecurity, accounting and disclosure fraud, registered and unregistered securities offerings, market abuses, the Foreign Corrupt Practices Act, broker-dealers, investment advisors, and other regulated entities. Her cases involved millions of dollars in civil monetary penalties and disgorgement. She routinely worked with the Federal Bureau of Investigation, the Department of Justice (DOJ), and U.S. Attorneys’ Offices on parallel criminal proceedings. Britt also worked with international authorities, handling significant cross-border enforcement actions involving China, Macau, India, and Eastern Europe.
During her time at the SEC, Britt investigated and litigated many of the Commission’s most significant cases. In 2017, she received the Chairman’s Award for Excellence for leading the litigation in SEC v. Hong, a ground-breaking case in which Chinese nationals were charged with insider trading in connection with a cyber-attack on two New York law firms. The case received international attention because it demonstrated the reach of the SEC’s enforcement program as the SEC recovered illegal trading profits from foreign defendants who lived abroad and carried out their illegal scheme without entering the United States. Britt also twice received the Division of Enforcement Director’s Award for making outstanding contributions to the enforcement of the federal securities laws — in 2015, for her work on an $80-million-variable-annuity-fraud case, and again in 2016, for her work on a conflict-of-interest case against one of the world’s largest asset managers and its chief compliance officer.
In addition to serving in senior legal roles in the federal government, Britt was a partner at a global law firm and a Washington, D.C. litigation boutique. She represented high-profile individuals and public and private companies in the financial services, healthcare, pharmaceutical, defense, communications, government contracting, technology, manufacturing, and entertainment industries. She defended clients in investigations and enforcement matters by Congress, the DOJ, the SEC, the FTC, the Federal Deposit Insurance Corporation, and various state attorneys general. She also represented clients in commercial litigation, including securities, contract, cybersecurity, data privacy, defamation, consumer protection, unfair competition, professional liability, environmental, and product liability cases. An experienced trial lawyer, Britt litigated in state and federal courts nationwide. She presented cases to arbitrators and mediators. Britt also was a lecturing fellow at Duke University School of Law, teaching a course on electronic discovery.
Britt began her law career as a federal appellate clerk for the Honorable Julia Smith Gibbons on the U.S. Court of Appeals for the Sixth Circuit, after graduating magna cum laude from Duke University School of Law and being elected to the Order of the Coif.
Partner, Womble Bond Dickinson
Luke Cass defends corporations and individuals in connection with a variety of federal criminal allegations, including health care fraud, conspiracy, mail and wire fraud, embezzlement, bank fraud, and money laundering. He also conducts proactive, internal investigations related to bribery, misbranding, and the Foreign Corrupt Practices Act (FCPA). Luke served as a federal prosecutor for over a decade and has significant experience with white collar investigations and has litigated federal appellate and district court cases throughout the United States.
Previously, Luke worked as a Senior Trial Attorney with the Public Integrity Section of the U.S. Department of Justice’s Criminal Division where he handled public corruption investigations and prosecutions of elected, appointed, and career government officials. Luke served as an Assistant United States Attorney in the Financial Fraud and Corruption Unit of the U.S. Attorney’s Office for the District of Puerto Rico before working at the DOJ in Washington. In addition to Luke's extensive federal trial experience, he has also briefed and argued numerous appeals before the U.S. Court of Appeals for the First Circuit. He also clerked in the United States District Court for the Eastern District of New York.
As a result of his experience, Luke is well qualified to counsel clients in nearly every aspect of complex white collar matters involving both the public and private sectors.