Board Member, Center for Equal Opportunity
Roger Clegg is a Board Member at and former President and General Counsel of the Center for Equal Opportunity. He focuses on legal issues arising from civil rights laws--including the regulatory impact on business and the problems in higher education created by affirmative action. A former Deputy Assistant Attorney General in the Reagan and Bush administrations, Clegg held the second highest positions in both the Civil Rights Division (1987-91) and in the Environment and Natural Resources Division (1991-93). He has held several other positions at the U.S. Justice Department, including Assistant to the Solicitor General (1985-87), Associate Deputy Attorney General (1984-85), and Acting Assistant Attorney General in the Office of Legal Policy (1984). Clegg is a graduate of Yale University Law School (1981).
Judge, United States Court of Appeals, Fifth Circuit
James C. Ho is a Circuit Judge on the U.S. Court of Appeals for the Fifth Circuit. Before taking the bench on January 4, 2018, he was a partner and co-chair of the national Appellate and Constitutional Law practice group of Gibson, Dunn & Crutcher LLP.
As an appellate litigator for over a decade, including three years as the Solicitor General of Texas, Judge Ho presented 50 oral arguments in federal and state courts nationwide. He won numerous appeals, including three merits cases at the U.S. Supreme Court. He was routinely ranked among the nation’s leading lawyers by Benchmark, Chambers, Law360, The Legal 500, and The National Law Journal, among other publications. His work has been cited favorably by courts at every level of both the federal and state judiciaries. He won a Best Brief Award from the National Association of Attorneys General for every year that he served as solicitor general, and he is the only state solicitor general in history to be invited by the U.S. Supreme Court to express the views of a state.
Judge Ho has served in all three branches of the federal government. On the Senate Judiciary Committee, he served as chief counsel of the Subcommittees on the Constitution and Immigration under Senator John Cornyn. At the Justice Department, he served as Special Assistant to the Assistant Attorney General for Civil Rights and an attorney-advisor at the Office of Legal Counsel. He clerked for Judge Jerry E. Smith of the U.S. Court of Appeals for the Fifth Circuit and Justice Clarence Thomas of the U.S. Supreme Court.
His record of public service also includes appointments as vice chair of the Federal Judicial Evaluation Committee in Texas and co-chair of the National Asian Pacific American Bar Association Judiciary Committee, and as a member of the U.S. Magistrate Judge Merit Selection Panel for the Northern District of Texas, the U.S. delegation to the United Nations Committee on the Elimination of Racial Discrimination, and the Continuity of Government Commission.
In addition, Judge Ho has served as an Adjunct Professor of Law at the University of Texas School of Law, where he taught seminars on U.S. Supreme Court Litigation and Religious Liberty. He has authored numerous articles in respected law reviews nationwide, including an annual feature on exemplary judicial writing for The Green Bag Almanac & Reader. He previously served as senior editor of The Green Bag and as co-editor of Pub. L. Misc.
Judge Ho graduated from Stanford University with honors and a B.A. in Public Policy in 1995, and the University of Chicago Law School with high honors in 1999. Before law school, he was a legislative aide to California State Senator Quentin Kopp. He and his wife Allyson live in Dallas, Texas, with their twin daughter and son.
Attorney General, Kansas
Attorney General Kris Kobach was raised in Topeka, Kansas where he graduated from Washburn Rural High School. He completed his undergraduate studies in government at Harvard University, graduating first in his department and summa cum laude. A Marshall Scholarship recipient, he received his Ph.D. in politics from the University of Oxford. Kobach received his J.D. from Yale Law School, serving as notes development editor of the Yale Law Journal.
Kobach clerked for the Tenth Circuit Court of Appeals and shortly thereafter became a professor of constitutional law at the University of Missouri - Kansas City School of Law. Kobach received a White House Fellowship from President George W. Bush. He served in the United States Department of Justice under Attorney General John Ashcroft as Counsel to the Attorney General.
He has litigated some of the most high-profile cases in the country, including defending statutes and ordinances against the ACLU on multiple occasions. In 2012, Kobach brought the first challenge to President Obama’s DACA amnesty on behalf of 10 ICE agents. His victory in federal district court paved the way for Texas to defeat the Obama Justice Department in its litigation.
Kobach served as the 31st Kansas Secretary of State, 2011-2019. He lives near Lecompton with his wife, Heather, and their five children.
Counsel to the Firm, Cascadia Cross-Border Law
Margaret Stock focuses her practice on immigration and citizenship law. She is a nationally known expert on immigration and national security laws, and has testified regularly before Congressional committees on immigration, homeland security, and military matters. As a retired Lieutenant Colonel in the Military Police, U.S. Army Reserve, Margaret has extensive experience with U.S. military issues. She has also worked as a professor at the United States Military Academy at West Point, and she has served as an adjunct instructor at the University of Alaska. Margaret served as a member of the American Bar Association Commission on Immigration from 2008-2012. She regularly authors articles on military-related immigration issues, and is well-versed on “parole in place” for military family members and the Military Accessions Vital to the National Interest (“MAVNI”) Program. Margaret authored the book Immigration Law & the Military, which was published by the American Immigration Lawyers Association in 2012.
Board Member, Center for Equal Opportunity
Roger Clegg is a Board Member at and former President and General Counsel of the Center for Equal Opportunity. He focuses on legal issues arising from civil rights laws--including the regulatory impact on business and the problems in higher education created by affirmative action. A former Deputy Assistant Attorney General in the Reagan and Bush administrations, Clegg held the second highest positions in both the Civil Rights Division (1987-91) and in the Environment and Natural Resources Division (1991-93). He has held several other positions at the U.S. Justice Department, including Assistant to the Solicitor General (1985-87), Associate Deputy Attorney General (1984-85), and Acting Assistant Attorney General in the Office of Legal Policy (1984). Clegg is a graduate of Yale University Law School (1981).
Judge, United States Court of Appeals, Fifth Circuit
James C. Ho is a Circuit Judge on the U.S. Court of Appeals for the Fifth Circuit. Before taking the bench on January 4, 2018, he was a partner and co-chair of the national Appellate and Constitutional Law practice group of Gibson, Dunn & Crutcher LLP.
As an appellate litigator for over a decade, including three years as the Solicitor General of Texas, Judge Ho presented 50 oral arguments in federal and state courts nationwide. He won numerous appeals, including three merits cases at the U.S. Supreme Court. He was routinely ranked among the nation’s leading lawyers by Benchmark, Chambers, Law360, The Legal 500, and The National Law Journal, among other publications. His work has been cited favorably by courts at every level of both the federal and state judiciaries. He won a Best Brief Award from the National Association of Attorneys General for every year that he served as solicitor general, and he is the only state solicitor general in history to be invited by the U.S. Supreme Court to express the views of a state.
Judge Ho has served in all three branches of the federal government. On the Senate Judiciary Committee, he served as chief counsel of the Subcommittees on the Constitution and Immigration under Senator John Cornyn. At the Justice Department, he served as Special Assistant to the Assistant Attorney General for Civil Rights and an attorney-advisor at the Office of Legal Counsel. He clerked for Judge Jerry E. Smith of the U.S. Court of Appeals for the Fifth Circuit and Justice Clarence Thomas of the U.S. Supreme Court.
His record of public service also includes appointments as vice chair of the Federal Judicial Evaluation Committee in Texas and co-chair of the National Asian Pacific American Bar Association Judiciary Committee, and as a member of the U.S. Magistrate Judge Merit Selection Panel for the Northern District of Texas, the U.S. delegation to the United Nations Committee on the Elimination of Racial Discrimination, and the Continuity of Government Commission.
In addition, Judge Ho has served as an Adjunct Professor of Law at the University of Texas School of Law, where he taught seminars on U.S. Supreme Court Litigation and Religious Liberty. He has authored numerous articles in respected law reviews nationwide, including an annual feature on exemplary judicial writing for The Green Bag Almanac & Reader. He previously served as senior editor of The Green Bag and as co-editor of Pub. L. Misc.
Judge Ho graduated from Stanford University with honors and a B.A. in Public Policy in 1995, and the University of Chicago Law School with high honors in 1999. Before law school, he was a legislative aide to California State Senator Quentin Kopp. He and his wife Allyson live in Dallas, Texas, with their twin daughter and son.
Attorney General, Kansas
Attorney General Kris Kobach was raised in Topeka, Kansas where he graduated from Washburn Rural High School. He completed his undergraduate studies in government at Harvard University, graduating first in his department and summa cum laude. A Marshall Scholarship recipient, he received his Ph.D. in politics from the University of Oxford. Kobach received his J.D. from Yale Law School, serving as notes development editor of the Yale Law Journal.
Kobach clerked for the Tenth Circuit Court of Appeals and shortly thereafter became a professor of constitutional law at the University of Missouri - Kansas City School of Law. Kobach received a White House Fellowship from President George W. Bush. He served in the United States Department of Justice under Attorney General John Ashcroft as Counsel to the Attorney General.
He has litigated some of the most high-profile cases in the country, including defending statutes and ordinances against the ACLU on multiple occasions. In 2012, Kobach brought the first challenge to President Obama’s DACA amnesty on behalf of 10 ICE agents. His victory in federal district court paved the way for Texas to defeat the Obama Justice Department in its litigation.
Kobach served as the 31st Kansas Secretary of State, 2011-2019. He lives near Lecompton with his wife, Heather, and their five children.
Counsel to the Firm, Cascadia Cross-Border Law
Margaret Stock focuses her practice on immigration and citizenship law. She is a nationally known expert on immigration and national security laws, and has testified regularly before Congressional committees on immigration, homeland security, and military matters. As a retired Lieutenant Colonel in the Military Police, U.S. Army Reserve, Margaret has extensive experience with U.S. military issues. She has also worked as a professor at the United States Military Academy at West Point, and she has served as an adjunct instructor at the University of Alaska. Margaret served as a member of the American Bar Association Commission on Immigration from 2008-2012. She regularly authors articles on military-related immigration issues, and is well-versed on “parole in place” for military family members and the Military Accessions Vital to the National Interest (“MAVNI”) Program. Margaret authored the book Immigration Law & the Military, which was published by the American Immigration Lawyers Association in 2012.
David and Mary Harrison Distinguished Professor of Law Emeritus, University of Virginia School of Law
Lillian BeVier taught constitutional law (with special emphasis on First Amendment issues), intellectual property (trademark, copyright), real property and torts from 1973-2010 at the Law School, and now teaches a January Term course on judicial philosophy.
At Stanford Law School, BeVier was revising editor for the Stanford Law Review and a member of the Order of the Coif. Before coming to Virginia, she was associate professor of law at the University of Santa Clara Law School; practiced law with Spaeth Blase Valentine & Klein in Palo Alto, Calif.; served as research associate to Professor William F. Baxter at Stanford University Law School, working on the FAA-ABA study of the legal aspects of airport noise and the sonic boom; and was assistant to the general secretary and assistant staff legal counsel for Stanford University.
BeVier received the University of Virginia Alumni Association Distinguished Professor Award in 2006. The Raven Society elected her to membership in 1993 and honored her with the faculty award in 2010. She delivered the Henry Miller Memorial Lecture at Georgia State Law School in 2005, the Coen Memorial Lecture at the University of Colorado Law School in 2000, and the David C. Baum Lecture on Civil Rights and Civil Liberties at the University of Illinois Law School in 1996. In 1999, at the invitation of the Supreme Court Historical Society, she spoke to the Society on Free Expression in the Warren and Burger Courts. Suffolk University awarded her an honorary S.J.D. degree in 1998. In the fall of 2003, she was a visiting scholar at the National Constitution Center in Philadelphia.
Having been nominated by President Bush and confirmed by the Senate in 2003, she served as vice-chair of the Board of Directors of the Legal Services Corporation until 2009. She serves on the national Board of Visitors of the Federalist Society. Within the Charlottesville community, BeVier has served as chair of the Board of Trustees of St. Anne’s-Belfield School and of the Martha Jefferson Hospital. She is currently chair of the board of the Martha Jefferson Health Services Corporation and of Piedmont CASA (Court-Appointed Special Advocates).
In his 35 years at the Justice Department and in private practice, Mike Carvin was one of the leading appellate and trial lawyers challenging state and federal regulations on constitutional and statutory grounds, with 10 Supreme Court arguments and numerous high-profile victories. In addition to his numerous cases in the United States Supreme Court, he argued in virtually every federal appeals court. His major cases include the recent constitutional challenge to the Affordable Care Act and the decisions invalidating Sarbanes-Oxley's accounting board, preventing the Justice Department from obtaining monetary relief against the tobacco industry under RICO, overturning the federal government's plan to statistically adjust the census, limiting the Justice Department's ability to create "majority-minority" districts, and upholding Proposition 209's ban on racial preferences in California.
Mike was one of the lead lawyers, and argued before the Florida Supreme Court, on behalf of George W. Bush in the 2000 presidential election Florida recount controversy. He also has represented state governments, financial institutions, telecommunications, and energy companies in "takings," First Amendment, civil rights, and statutory challenges to federal government actions.
President, Constitutional Accountability Center
Doug is founder and President of the Constitutional Accountability Center (CAC), a think tank, law firm and action center dedicated to fulfilling the progressive promise of our Constitution's text and history. He previously founded and directed Community Rights Counsel (CRC), CAC's predecessor organization. Doug has represented clients in state and federal appellate courts around the country and he has co-authored more than a dozen briefs filed before the U.S. Supreme Court. He is co-author of three books and lead author of numerous reports and studies. He launched and helped direct (with Earthjustice) the Judging the Environment Project, a comprehensive effort to highlight the environmental stakes in the future of the U.S. Supreme Court and appointments to the federal bench. Doug has appeared on television programs including Nightline, 20/20, Fox News Sunday, and World News Tonight, and radio broadcasts on NPR, CBS News, and Air America. His academic writings have appeared scholarly journals including the Virginia Law Review. His commentary has run in the New Republic, the American Prospect, Slate, and dozens of major papers including the Washington Post, USA Today, and the Los Angeles Times. Doug is a blogger on Huffington Post. Doug received his undergraduate and law degrees from the University of Virginia.
McSweeney, Crump Childress & Temple
Mr. McSweeney is engaged primarily in the practice of civil litigation. He has represented a wide range of parties during his decades of practice, including individuals, governmental bodies, civic organizations and business entities, both large and small. The matters that he has litigated have included constitutional, land use, environmental, antitrust, election and commercial law issues, among others.
His experience as a litigator has taken him to trial and appellate courts throughout Virginia and numerous other states and the District of Columbia. He has been a member of the Supreme Court of the United States since 1974, and has represented numerous clients in that Court.
He has served on numerous corporate boards. Mr. McSweeney has also been recognized by Virginia Business Magazine as one of Virginia's "Legal Elite" for 2007 in Civil Litigation and by Virgina Super Lawyers as a "Top 50 Super Lawyer" in General Litigation for 2009 and as a "Top 10 Super Lawyer" in Political Law for 2010.
Judge, United States Court of Appeals, Seventh Circuit
Judge Sykes was nominated to the Seventh Circuit by President George W. Bush and confirmed by the Senate in 2004. Prior to her appointment to the federal bench, Judge Sykes served as a justice on the Wisconsin Supreme Court. Governor Tommy G. Thompson appointed her in September 1999 to fill a mid-term vacancy on the state supreme court, and she was elected to a full ten-year term in April 2000. From 1992-1999, Judge Sykes served on the state trial bench in Milwaukee County (elected in 1992 and re-elected in 1998). From 1985-1992, Judge Sykes practiced law with the Milwaukee firm of Whyte & Hirschboeck, S.C., and from 1984-1985, was a law clerk to Federal Judge Terence T. Evans.
Born and raised in the Milwaukee area, Judge Sykes earned a bachelor’s degree in journalism from Northwestern University in 1980 and a law degree from Marquette University Law School in 1984. Between college and law school, Judge Sykes worked as a reporter for The Milwaukee Journal.
Judge Sykes has two sons.
Shareholder, Beasley, Allen, Crow, Methvin, Portis & Miles, PC
Mr. Vance, a trial attorney from Montgomery, Alabama, is a specialist in the Consumer Fraud division of Beasley, Allen, Crow, Methvin, Portis & Miles, PC. He acts in behalf of individuals and small businesses against insurance companies and various other entities within the insurance industry.
Before coming to Beasley Allen, Mr. Vance was a partner at the Montgomery-based firm of Hawthorne, Hawthorne & Vance.
At AAJ, Mr. Vance serves on the Public Affairs Committee and formerly served a two-year term as a member of the Board of Directors for the Trial Lawyers for Public Justice, a national organization designed to promote a fair and impartial judicial system for all.
Mr. Vance has served as Vice President of the Montgomery County Bar Association and Treasurer of the Alabama Trial Lawyers Association. He was the president of the Young Lawyer's section of the Montgomery County Bar Association and a member of the Board of Directors of the Montgomery County Bar Association.
Mr. Vance attended the Jones School of Law at Faulkner University where he was elected president of the Student Bar Association and received the Advocacy Award as the outstanding graduate of his class in 1992. He also helped found the Jones School of Law Future Trial Lawyers Association. He received his undergraduate degree from Troy State University in 1987.
David and Mary Harrison Distinguished Professor of Law Emeritus, University of Virginia School of Law
Lillian BeVier taught constitutional law (with special emphasis on First Amendment issues), intellectual property (trademark, copyright), real property and torts from 1973-2010 at the Law School, and now teaches a January Term course on judicial philosophy.
At Stanford Law School, BeVier was revising editor for the Stanford Law Review and a member of the Order of the Coif. Before coming to Virginia, she was associate professor of law at the University of Santa Clara Law School; practiced law with Spaeth Blase Valentine & Klein in Palo Alto, Calif.; served as research associate to Professor William F. Baxter at Stanford University Law School, working on the FAA-ABA study of the legal aspects of airport noise and the sonic boom; and was assistant to the general secretary and assistant staff legal counsel for Stanford University.
BeVier received the University of Virginia Alumni Association Distinguished Professor Award in 2006. The Raven Society elected her to membership in 1993 and honored her with the faculty award in 2010. She delivered the Henry Miller Memorial Lecture at Georgia State Law School in 2005, the Coen Memorial Lecture at the University of Colorado Law School in 2000, and the David C. Baum Lecture on Civil Rights and Civil Liberties at the University of Illinois Law School in 1996. In 1999, at the invitation of the Supreme Court Historical Society, she spoke to the Society on Free Expression in the Warren and Burger Courts. Suffolk University awarded her an honorary S.J.D. degree in 1998. In the fall of 2003, she was a visiting scholar at the National Constitution Center in Philadelphia.
Having been nominated by President Bush and confirmed by the Senate in 2003, she served as vice-chair of the Board of Directors of the Legal Services Corporation until 2009. She serves on the national Board of Visitors of the Federalist Society. Within the Charlottesville community, BeVier has served as chair of the Board of Trustees of St. Anne’s-Belfield School and of the Martha Jefferson Hospital. She is currently chair of the board of the Martha Jefferson Health Services Corporation and of Piedmont CASA (Court-Appointed Special Advocates).
In his 35 years at the Justice Department and in private practice, Mike Carvin was one of the leading appellate and trial lawyers challenging state and federal regulations on constitutional and statutory grounds, with 10 Supreme Court arguments and numerous high-profile victories. In addition to his numerous cases in the United States Supreme Court, he argued in virtually every federal appeals court. His major cases include the recent constitutional challenge to the Affordable Care Act and the decisions invalidating Sarbanes-Oxley's accounting board, preventing the Justice Department from obtaining monetary relief against the tobacco industry under RICO, overturning the federal government's plan to statistically adjust the census, limiting the Justice Department's ability to create "majority-minority" districts, and upholding Proposition 209's ban on racial preferences in California.
Mike was one of the lead lawyers, and argued before the Florida Supreme Court, on behalf of George W. Bush in the 2000 presidential election Florida recount controversy. He also has represented state governments, financial institutions, telecommunications, and energy companies in "takings," First Amendment, civil rights, and statutory challenges to federal government actions.
President, Constitutional Accountability Center
Doug is founder and President of the Constitutional Accountability Center (CAC), a think tank, law firm and action center dedicated to fulfilling the progressive promise of our Constitution's text and history. He previously founded and directed Community Rights Counsel (CRC), CAC's predecessor organization. Doug has represented clients in state and federal appellate courts around the country and he has co-authored more than a dozen briefs filed before the U.S. Supreme Court. He is co-author of three books and lead author of numerous reports and studies. He launched and helped direct (with Earthjustice) the Judging the Environment Project, a comprehensive effort to highlight the environmental stakes in the future of the U.S. Supreme Court and appointments to the federal bench. Doug has appeared on television programs including Nightline, 20/20, Fox News Sunday, and World News Tonight, and radio broadcasts on NPR, CBS News, and Air America. His academic writings have appeared scholarly journals including the Virginia Law Review. His commentary has run in the New Republic, the American Prospect, Slate, and dozens of major papers including the Washington Post, USA Today, and the Los Angeles Times. Doug is a blogger on Huffington Post. Doug received his undergraduate and law degrees from the University of Virginia.
McSweeney, Crump Childress & Temple
Mr. McSweeney is engaged primarily in the practice of civil litigation. He has represented a wide range of parties during his decades of practice, including individuals, governmental bodies, civic organizations and business entities, both large and small. The matters that he has litigated have included constitutional, land use, environmental, antitrust, election and commercial law issues, among others.
His experience as a litigator has taken him to trial and appellate courts throughout Virginia and numerous other states and the District of Columbia. He has been a member of the Supreme Court of the United States since 1974, and has represented numerous clients in that Court.
He has served on numerous corporate boards. Mr. McSweeney has also been recognized by Virginia Business Magazine as one of Virginia's "Legal Elite" for 2007 in Civil Litigation and by Virgina Super Lawyers as a "Top 50 Super Lawyer" in General Litigation for 2009 and as a "Top 10 Super Lawyer" in Political Law for 2010.
Judge, United States Court of Appeals, Seventh Circuit
Judge Sykes was nominated to the Seventh Circuit by President George W. Bush and confirmed by the Senate in 2004. Prior to her appointment to the federal bench, Judge Sykes served as a justice on the Wisconsin Supreme Court. Governor Tommy G. Thompson appointed her in September 1999 to fill a mid-term vacancy on the state supreme court, and she was elected to a full ten-year term in April 2000. From 1992-1999, Judge Sykes served on the state trial bench in Milwaukee County (elected in 1992 and re-elected in 1998). From 1985-1992, Judge Sykes practiced law with the Milwaukee firm of Whyte & Hirschboeck, S.C., and from 1984-1985, was a law clerk to Federal Judge Terence T. Evans.
Born and raised in the Milwaukee area, Judge Sykes earned a bachelor’s degree in journalism from Northwestern University in 1980 and a law degree from Marquette University Law School in 1984. Between college and law school, Judge Sykes worked as a reporter for The Milwaukee Journal.
Judge Sykes has two sons.
Shareholder, Beasley, Allen, Crow, Methvin, Portis & Miles, PC
Mr. Vance, a trial attorney from Montgomery, Alabama, is a specialist in the Consumer Fraud division of Beasley, Allen, Crow, Methvin, Portis & Miles, PC. He acts in behalf of individuals and small businesses against insurance companies and various other entities within the insurance industry.
Before coming to Beasley Allen, Mr. Vance was a partner at the Montgomery-based firm of Hawthorne, Hawthorne & Vance.
At AAJ, Mr. Vance serves on the Public Affairs Committee and formerly served a two-year term as a member of the Board of Directors for the Trial Lawyers for Public Justice, a national organization designed to promote a fair and impartial judicial system for all.
Mr. Vance has served as Vice President of the Montgomery County Bar Association and Treasurer of the Alabama Trial Lawyers Association. He was the president of the Young Lawyer's section of the Montgomery County Bar Association and a member of the Board of Directors of the Montgomery County Bar Association.
Mr. Vance attended the Jones School of Law at Faulkner University where he was elected president of the Student Bar Association and received the Advocacy Award as the outstanding graduate of his class in 1992. He also helped found the Jones School of Law Future Trial Lawyers Association. He received his undergraduate degree from Troy State University in 1987.
Chairman of the Securities and Exchange Commission
Paul S. Atkins was sworn into office as the 34th Chairman of the Securities and Exchange Commission on April 21, 2025, after being nominated by President Donald J. Trump on January 20, 2025, and confirmed by the U.S. Senate on April 9, 2025.
Prior to returning to the SEC, Chairman Atkins was most recently chief executive of Patomak Global Partners, a company he founded in 2009. Chairman Atkins helped lead efforts to develop best practices for the digital asset sector. He served as an independent director and non-executive chairman of the board of BATS Global Markets, Inc. from 2012 to 2015.
Chairman Atkins was appointed by President George W. Bush to serve as a Commissioner of the SEC from 2002 to 2008. During his tenure, he advocated for transparency, consistency, and the use of cost-benefit analysis at the agency. Chairman Atkins also represented the SEC at meetings of the President’s Working Group on Financial Markets and the U.S.-EU Transatlantic Economic Council. From 2009 to 2010, he was appointed a member of the Congressional Oversight Panel for the Troubled Asset Relief Program.
Before serving as an SEC Commissioner, Chairman Atkins was a consultant on securities and investment management industry matters, especially regarding issues of strategy, regulatory compliance, risk management, new product development, and organizational control.
From 1990 to 1994, Chairman Atkins served on the staff of two chairmen of the SEC, Richard C. Breeden and Arthur Levitt, ultimately as chief of staff and counselor, respectively. He received the SEC’s 1992 Law and Policy Award for work regarding corporate governance matters.
Chairman Atkins began his career as a lawyer in New York, focusing on a wide range of corporate transactions for U.S. and foreign clients, including public and private securities offerings and mergers and acquisitions. He was resident for 2½ years in his firm's Paris office and admitted as conseil juridique in France.
A member of the New York and Florida bars, Chairman Atkins received his J.D. from Vanderbilt University School of Law in 1983 and was Senior Student Writing Editor of the Vanderbilt Law Review. He received his A.B., Phi Beta Kappa, from Wofford College in 1980.
Originally from Lillington, North Carolina, Chairman Atkins grew up in Tampa, Florida. He and his wife Sarah have three sons.
Ruby R. Vale Professor of Corporate and Business Law, Widener University School of Law
Lawrence A. Hamermesh is the Ruby R. Vale Professor of Corporate and Business Law at Widener's Delaware campus and former Director of the Widener Institute of Delaware Corporate and Business Law. Professor Hamermesh received a B.A. from Haverford College in 1973, and a J.D. from Yale Law School in 1976.
Following graduation from law school, Professor Hamermesh worked as Associate Attorney with Morris, Nichols, Arsht & Tunnell in Wilmington, Delaware, from 1976-84, and was a partner at Morris, Nichols, Arsht & Tunnell from 1985-94.
Professor Hamermesh joined the faculty at Widener in 1994 as Associate Professor of Law. Professor Hamermesh is admitted to practice in Delaware, and he teaches and writes in the areas of Corporate Finance, Mergers and Acquisitions, Securities Regulation, Business Organizations, Corporate Takeovers, and Professional Responsibility.
Professor Hamermesh was elected in 1999 as a member of the American Law Institute. Since 1995 he has been a member of the Corporation Law Council of the Corporation Law Section of the Delaware State Bar Association, which is responsible for the annual review and modernization of the Delaware General Corporation Law, and was Chair of the Council from 2002-2004.
In 2001, Professor Hamermesh was elected as a member of the Corporate Laws Committee of the American Bar Association Business Law Section, which supervises the drafting and revision of the Model Business Corporation Act. Professor Hamermesh is also a member of the Board of Directors of ACLU Delaware, Inc., and the national board of directors of the ACLU.
Professor Hamermesh has been active in a number of professional and civic organizations, including the American Civil Liberties Union Delaware (President since 1996-2003) and Delaware Volunteer Legal Services, Inc. (Treasurer and Director from 1992 to 2000). In 2002-2003, Professor Hamermesh served as the Reporter for the American Bar Association Task Force on Corporate Responsibility.
Professor of Law, American University Washington College of Law
Jeffrey P. Mahoney joined the Council of Institutional Investors ("Council") in 2006 as General Counsel. As General Counsel, Mahoney responsibilities include advocating the Council's membership approved policies before standard setters, regulators, Members of Congress, and other policy makers. Prior to joining the Council, Mahoney was Counsel to the Chairman of the Financial Accounting Standards Board ("FASB"). Since 1996, he served FASB and, its parent entity, the Financial Accounting Foundation, in a variety of research, technical and administrative matters and was primarily responsible for the FASB's Washington, DC liaison activities. Prior to joining the FASB, Mahoney was a corporate/securities lawyer at Morgan, Lewis & Bockius LLP, a law clerk to the Honorable James G. Exum, Jr., Chief Justice, of the North Carolina Supreme Court, and an auditor at Arthur Andersen LLP.
Mahoney holds a J.D. degree, served on the North Carolina Law Review, and was named to the Order of the Coif. He also holds a B.B.A. degree and an A.A. degree. He is a member of the District of Columbia and North Carolina Bar Associations. He also is a certified public accountant in North Carolina and Michigan and a member of the American Institute of Certified Public Accountants.
Mahoney is currently a member and was the initial Co-Chair of the FASB's Investors Technical Advisory Committee, Vice Chair of the Investor Rights Committee of the Corporation, Finance, and Securities Law Section of the DC Bar, a member of the Public Company Accounting Oversight Board's Standing Advisory Group, and a member of the Nasdaq Listing Qualifications Hearing Panel. Mahoney holds a J.D. degree and served on the North Carolina Law Review. He also holds a B.B.A. degree and an A.A. degree. He is a member of the District of Columbia and North Carolina Bar Associations. He also is a certified public accountant in North Carolina and Michigan and a member of the American Institute of Certified Public Accountants.
Mahoney is currently the Co-Chair of the FASB's Investor Technical Advisory Committee, Vice Chair of the Investor Rights Committee of the Corporation, Finance, and Securities Law Section of the DC Bar, a member of the Public Company Accounting Oversight Board's Standing Advisory Group, and a member of the Nasdaq Listing Qualifications Hearing Panel.
Deputy Director, AFL-CIO Office of Investment
Senior Vice President, Policy and Governance, Apache Corporation
SARAH B. TESLIK was appointed senior vice president - Policy and Governance in October 2006.
Prior to joining the Company, she was chief executive officer of the Certified Financial Planner Board of Standards, Inc. from November 2004 to October 2006, and executive director of the Council of Institutional Directors from July 1988 to October 2004.
Ms. Teslik holds a bachelor's degree from Whitman College, a master's degree from Oxford University, and a juris doctorate from Georgetown University.
Chairman of the Securities and Exchange Commission
Paul S. Atkins was sworn into office as the 34th Chairman of the Securities and Exchange Commission on April 21, 2025, after being nominated by President Donald J. Trump on January 20, 2025, and confirmed by the U.S. Senate on April 9, 2025.
Prior to returning to the SEC, Chairman Atkins was most recently chief executive of Patomak Global Partners, a company he founded in 2009. Chairman Atkins helped lead efforts to develop best practices for the digital asset sector. He served as an independent director and non-executive chairman of the board of BATS Global Markets, Inc. from 2012 to 2015.
Chairman Atkins was appointed by President George W. Bush to serve as a Commissioner of the SEC from 2002 to 2008. During his tenure, he advocated for transparency, consistency, and the use of cost-benefit analysis at the agency. Chairman Atkins also represented the SEC at meetings of the President’s Working Group on Financial Markets and the U.S.-EU Transatlantic Economic Council. From 2009 to 2010, he was appointed a member of the Congressional Oversight Panel for the Troubled Asset Relief Program.
Before serving as an SEC Commissioner, Chairman Atkins was a consultant on securities and investment management industry matters, especially regarding issues of strategy, regulatory compliance, risk management, new product development, and organizational control.
From 1990 to 1994, Chairman Atkins served on the staff of two chairmen of the SEC, Richard C. Breeden and Arthur Levitt, ultimately as chief of staff and counselor, respectively. He received the SEC’s 1992 Law and Policy Award for work regarding corporate governance matters.
Chairman Atkins began his career as a lawyer in New York, focusing on a wide range of corporate transactions for U.S. and foreign clients, including public and private securities offerings and mergers and acquisitions. He was resident for 2½ years in his firm's Paris office and admitted as conseil juridique in France.
A member of the New York and Florida bars, Chairman Atkins received his J.D. from Vanderbilt University School of Law in 1983 and was Senior Student Writing Editor of the Vanderbilt Law Review. He received his A.B., Phi Beta Kappa, from Wofford College in 1980.
Originally from Lillington, North Carolina, Chairman Atkins grew up in Tampa, Florida. He and his wife Sarah have three sons.
Ruby R. Vale Professor of Corporate and Business Law, Widener University School of Law
Lawrence A. Hamermesh is the Ruby R. Vale Professor of Corporate and Business Law at Widener's Delaware campus and former Director of the Widener Institute of Delaware Corporate and Business Law. Professor Hamermesh received a B.A. from Haverford College in 1973, and a J.D. from Yale Law School in 1976.
Following graduation from law school, Professor Hamermesh worked as Associate Attorney with Morris, Nichols, Arsht & Tunnell in Wilmington, Delaware, from 1976-84, and was a partner at Morris, Nichols, Arsht & Tunnell from 1985-94.
Professor Hamermesh joined the faculty at Widener in 1994 as Associate Professor of Law. Professor Hamermesh is admitted to practice in Delaware, and he teaches and writes in the areas of Corporate Finance, Mergers and Acquisitions, Securities Regulation, Business Organizations, Corporate Takeovers, and Professional Responsibility.
Professor Hamermesh was elected in 1999 as a member of the American Law Institute. Since 1995 he has been a member of the Corporation Law Council of the Corporation Law Section of the Delaware State Bar Association, which is responsible for the annual review and modernization of the Delaware General Corporation Law, and was Chair of the Council from 2002-2004.
In 2001, Professor Hamermesh was elected as a member of the Corporate Laws Committee of the American Bar Association Business Law Section, which supervises the drafting and revision of the Model Business Corporation Act. Professor Hamermesh is also a member of the Board of Directors of ACLU Delaware, Inc., and the national board of directors of the ACLU.
Professor Hamermesh has been active in a number of professional and civic organizations, including the American Civil Liberties Union Delaware (President since 1996-2003) and Delaware Volunteer Legal Services, Inc. (Treasurer and Director from 1992 to 2000). In 2002-2003, Professor Hamermesh served as the Reporter for the American Bar Association Task Force on Corporate Responsibility.
Professor of Law, American University Washington College of Law
Jeffrey P. Mahoney joined the Council of Institutional Investors ("Council") in 2006 as General Counsel. As General Counsel, Mahoney responsibilities include advocating the Council's membership approved policies before standard setters, regulators, Members of Congress, and other policy makers. Prior to joining the Council, Mahoney was Counsel to the Chairman of the Financial Accounting Standards Board ("FASB"). Since 1996, he served FASB and, its parent entity, the Financial Accounting Foundation, in a variety of research, technical and administrative matters and was primarily responsible for the FASB's Washington, DC liaison activities. Prior to joining the FASB, Mahoney was a corporate/securities lawyer at Morgan, Lewis & Bockius LLP, a law clerk to the Honorable James G. Exum, Jr., Chief Justice, of the North Carolina Supreme Court, and an auditor at Arthur Andersen LLP.
Mahoney holds a J.D. degree, served on the North Carolina Law Review, and was named to the Order of the Coif. He also holds a B.B.A. degree and an A.A. degree. He is a member of the District of Columbia and North Carolina Bar Associations. He also is a certified public accountant in North Carolina and Michigan and a member of the American Institute of Certified Public Accountants.
Mahoney is currently a member and was the initial Co-Chair of the FASB's Investors Technical Advisory Committee, Vice Chair of the Investor Rights Committee of the Corporation, Finance, and Securities Law Section of the DC Bar, a member of the Public Company Accounting Oversight Board's Standing Advisory Group, and a member of the Nasdaq Listing Qualifications Hearing Panel. Mahoney holds a J.D. degree and served on the North Carolina Law Review. He also holds a B.B.A. degree and an A.A. degree. He is a member of the District of Columbia and North Carolina Bar Associations. He also is a certified public accountant in North Carolina and Michigan and a member of the American Institute of Certified Public Accountants.
Mahoney is currently the Co-Chair of the FASB's Investor Technical Advisory Committee, Vice Chair of the Investor Rights Committee of the Corporation, Finance, and Securities Law Section of the DC Bar, a member of the Public Company Accounting Oversight Board's Standing Advisory Group, and a member of the Nasdaq Listing Qualifications Hearing Panel.
Deputy Director, AFL-CIO Office of Investment
Senior Vice President, Policy and Governance, Apache Corporation
SARAH B. TESLIK was appointed senior vice president - Policy and Governance in October 2006.
Prior to joining the Company, she was chief executive officer of the Certified Financial Planner Board of Standards, Inc. from November 2004 to October 2006, and executive director of the Council of Institutional Directors from July 1988 to October 2004.
Ms. Teslik holds a bachelor's degree from Whitman College, a master's degree from Oxford University, and a juris doctorate from Georgetown University.
Laurence A. Tisch Professor of Law and Director, Classical Liberal Institute, New York University School of Law; Director, Classical Liberal Institute, Civitas Institute University of Texas at Austin
Richard A. Epstein is the Laurence A. Tisch Professor of Law, at New York University, a senior research fellow at the Civitas Institute at the University of Texas Austin, and a senior Lecturer, the University of Chicago. He received an LL.D., h.c . from the University of Ghent, 2003 , and an LLD h.c . from the University of Siegen in 2018 and the Bradley Prize in 2011. He has been a member of the American Academy of Arts and Sciences since 1985. He has edited both the Journal of Legal Studies (1981-1991) and the Journal of Law and Economics (1991-2001). He is also a founder and director of the Classical Liberal Institute at NYU Law School. His most recent book is The Classical Liberal Constitution: The Uncertain Quest for Limited Government (2014). His other books include Takings: Private Property and the Power of Eminent Domain ( 1985); Bargaining with the State (1993); Simple Rules for a Complex World (1995); Principles for a Free Society: Reconciling Individual Liberty and the Common Good (1998); Skepticism and Freedom: A Modern Theory of Classical Liberalism (2003); Design for Liberty: Private Property, Public Administration and the Rule of Law (2011), and most recently, The Myth of Birthright citizenship—and Beyond (2026). He has taught courses in , administrative law, antitrust, constitutional, contracts, environmental law, land use planning; real property, torts and water law. He has written and spoken extensively on a wide range of topics, and is writes a regular column for Defining Ideas.
Alexander M. Bickel Professor of Public Law, Yale Law School
Degrees from Davidson College, B.A. summa cum laude, 1973; Harvard University, M.A., 1974; Yale Law School, J.D, 1978. Clerked for Edward Weinfeld, 1978-79; Attorney at Shea & Gardner, 1979-82; Law Professor since 1982, tenured at Georgetown and Yale, visiting professor at Stanford, NYU, Toronto, Harvard, Columbia, Penn, Fordham, Vanderbilt. Author of casebooks on legislation and sexuality, gender and law, as well as monographs on statutory interpretation and the rights of sexual and gender minorities. Author of dozens of articles, by one empirical count a top ten most cited law professors.
Partner, Friedman Kaplan Seiler & Adelman LLP
The Honorable Robert S. Smith (Ret.) is head of the firm’s appellate practice, and focuses on trials and appeals. Judge Smith joined Friedman Kaplan following his retirement as Associate Judge of the New York State Court of Appeals, New York’s highest court, where he served for more than a decade. During his time on the bench, he wrote scores of opinions and became well known for his judicial scholarship, insight, and intellectual rigor.
Prior to his time on the Court of Appeals, Judge Smith practiced law in New York City, and was a partner with Paul, Weiss, Rifkind, Wharton & Garrison for over 25 years. He has argued dozens of appeals before the federal and New York appellate courts, and two appeals before the United States Supreme Court. His trial experience in complex commercial cases is also extensive. He is a Fellow of the American College of Trial Lawyers.
Since joining Friedman Kaplan, Judge Smith has been active primarily in appeals, trial-level commercial litigation, expert witness testimony, and alternative dispute resolution.
Former President & CEO, The Federalist Society for Law and Public Policy Studies
Eugene B. Meyer, former President and CEO of the Federalist Society, has served as Executive Director, CEO, and/or President of the organization for more than 40 years. He is responsible for shepherding the organization from a small group of law students to a community of 90,000 lawyers, law students, academics, judges, and others interested in the rule of law. The Society now includes a Student Chapter at nearly every ABA-accredited law school in the country and Lawyers Chapters in 220 major cities across the nation. Gene earned his B.A. in history at Yale in 1975 and his M.A. in political science from the London School of Economics in 1976. Gene currently serves on the boards of the U.S. Chess Center, the Holman Foundation, the Sarah Scaife Foundation, and the advisory board of the Adam Smith Society. He holds the title of International Chess Master.
Laurence A. Tisch Professor of Law and Director, Classical Liberal Institute, New York University School of Law; Director, Classical Liberal Institute, Civitas Institute University of Texas at Austin
Richard A. Epstein is the Laurence A. Tisch Professor of Law, at New York University, a senior research fellow at the Civitas Institute at the University of Texas Austin, and a senior Lecturer, the University of Chicago. He received an LL.D., h.c . from the University of Ghent, 2003 , and an LLD h.c . from the University of Siegen in 2018 and the Bradley Prize in 2011. He has been a member of the American Academy of Arts and Sciences since 1985. He has edited both the Journal of Legal Studies (1981-1991) and the Journal of Law and Economics (1991-2001). He is also a founder and director of the Classical Liberal Institute at NYU Law School. His most recent book is The Classical Liberal Constitution: The Uncertain Quest for Limited Government (2014). His other books include Takings: Private Property and the Power of Eminent Domain ( 1985); Bargaining with the State (1993); Simple Rules for a Complex World (1995); Principles for a Free Society: Reconciling Individual Liberty and the Common Good (1998); Skepticism and Freedom: A Modern Theory of Classical Liberalism (2003); Design for Liberty: Private Property, Public Administration and the Rule of Law (2011), and most recently, The Myth of Birthright citizenship—and Beyond (2026). He has taught courses in , administrative law, antitrust, constitutional, contracts, environmental law, land use planning; real property, torts and water law. He has written and spoken extensively on a wide range of topics, and is writes a regular column for Defining Ideas.
Alexander M. Bickel Professor of Public Law, Yale Law School
Degrees from Davidson College, B.A. summa cum laude, 1973; Harvard University, M.A., 1974; Yale Law School, J.D, 1978. Clerked for Edward Weinfeld, 1978-79; Attorney at Shea & Gardner, 1979-82; Law Professor since 1982, tenured at Georgetown and Yale, visiting professor at Stanford, NYU, Toronto, Harvard, Columbia, Penn, Fordham, Vanderbilt. Author of casebooks on legislation and sexuality, gender and law, as well as monographs on statutory interpretation and the rights of sexual and gender minorities. Author of dozens of articles, by one empirical count a top ten most cited law professors.
Partner, Friedman Kaplan Seiler & Adelman LLP
The Honorable Robert S. Smith (Ret.) is head of the firm’s appellate practice, and focuses on trials and appeals. Judge Smith joined Friedman Kaplan following his retirement as Associate Judge of the New York State Court of Appeals, New York’s highest court, where he served for more than a decade. During his time on the bench, he wrote scores of opinions and became well known for his judicial scholarship, insight, and intellectual rigor.
Prior to his time on the Court of Appeals, Judge Smith practiced law in New York City, and was a partner with Paul, Weiss, Rifkind, Wharton & Garrison for over 25 years. He has argued dozens of appeals before the federal and New York appellate courts, and two appeals before the United States Supreme Court. His trial experience in complex commercial cases is also extensive. He is a Fellow of the American College of Trial Lawyers.
Since joining Friedman Kaplan, Judge Smith has been active primarily in appeals, trial-level commercial litigation, expert witness testimony, and alternative dispute resolution.
Former President & CEO, The Federalist Society for Law and Public Policy Studies
Eugene B. Meyer, former President and CEO of the Federalist Society, has served as Executive Director, CEO, and/or President of the organization for more than 40 years. He is responsible for shepherding the organization from a small group of law students to a community of 90,000 lawyers, law students, academics, judges, and others interested in the rule of law. The Society now includes a Student Chapter at nearly every ABA-accredited law school in the country and Lawyers Chapters in 220 major cities across the nation. Gene earned his B.A. in history at Yale in 1975 and his M.A. in political science from the London School of Economics in 1976. Gene currently serves on the boards of the U.S. Chess Center, the Holman Foundation, the Sarah Scaife Foundation, and the advisory board of the Adam Smith Society. He holds the title of International Chess Master.
Assistant Attorney General, Environment and Natural Resources Division, U.S. Department of Justice
Jeffrey Bossert Clark was born in Philadelphia, Pennsylvania on April 17, 1967. He is a graduate of Harvard University (A.B. in economics and history, 1989), the University of Delaware (M.A. in urban affairs and public policy, 1993), and the Georgetown University Law Center (J.D., 1995).
Mr. Clark began his career working for the State of Delaware’s Department of Finance, Division of Revenue as an economics analyst in the field of tax policy. During his tenure from 1989 to 1992, he authored several white papers analyzing Delaware revenue sources. Delaware also selected Mr. Clark to submit an economic report and affidavit to the United States Supreme Court in the original jurisdiction case of Delaware v. New York, 507 U.S. 490 (1993).
He entered Georgetown’s law school in 1992 where he earned honors as an articles editor of the Georgetown Law Journal, an Olin Law & Economics Fellow, and a member of the Order of the Coif. From 1995 to 1996, Mr. Clark clerked for Judge Boggs of the U.S. Court of Appeals of the Sixth Circuit. Mr. Clark then joined the law firm of Kirkland & Ellis as an associate from 1996-2001. He worked as an appellate litigator on numerous Supreme Court and other appellate cases and developed expertise in administrative law, statutory interpretation, as well as antitrust, labor, environmental, and telecommunications law.
Mr. Clark went on to serve in ENRD from 2001-2005 as a Deputy Assistant Attorney General selected by Attorney General Ashcroft and Assistant Attorney General Tom Sansonetti. In that capacity, he supervised ENRD’s Appellate and Indian Resources Sections. He reviewed, edited, and contributed to virtually every brief that ENRD filed in the Courts of Appeals, including several cases of exceptional significance that he personally briefed and argued. During his service in the early 2000s, Mr. Clark argued and won numerous cases in multiple U.S. Courts of Appeals and worked on all Supreme Court cases arising out of ENRD’s work.
In 2005, Mr. Clark returned to Kirkland & Ellis LLP as a partner, where he litigated until his return to ENRD in 2018. There he worked on numerous multi-billion-dollar matters and continued to argue many appellate cases. His practice operated at all levels — appellate litigation, trial court litigation, agency proceedings, and regulatory and litigation counseling. He has been named a Super Lawyer for multiple years running, highlighted in the Legal 500, named to the “Legal Who’s Who for Environmental Law” in Corporate Responsibility Magazine, rated A.V. preeminent by Martindale Hubbell, and named a member of the National Association of Distinguished Counsel’s Nation’s One Percent. He also was named one of America’s Top 100 High Stakes Litigators.
President Trump nominated Mr. Clark to be the Assistant Attorney General of the Environment and Natural Resources Division (ENRD) on June 7, 2017. He was confirmed by the U.S. Senate on October 11, 2018 and sworn into office on November 1, 2018, followed by an investiture ceremony on November 15, 2018.
Director, Climate & Clean Air Program, Natural Resources Defense Council
David Doniger has been at the forefront of the battle against air pollution and global climate change since he joined NRDC in 1978. He helped formulate the Montreal Protocol, an international agreement designed to stop the depletion of the earth's ozone layer, as well as several essential amendments to the Clean Air Act. In 1993, he left NRDC to serve on the White House Council on Environmental Quality, followed by key posts at the U.S. Environmental Protection Agency. He rejoined NRDC in 2001 and has since been working to defend the Clean Air Act from assaults in Congress. He is based in Washington, D.C.
Partner, Sidley Austin LLP
ROGER MARTELLA co-leads the Environmental practice group at Sidley Austin LLP. He rejoined Sidley Austin LLP after serving as the General Counsel of the United States Environmental Protection Agency, concluding 10 years of litigating and handling complex environmental and natural resource matters at the Department of Justice and EPA. In 2015, Roger was recognized by Who’s Who Legal as the environmental lawyer of the year globally.
Roger’s practice focuses on three primary areas. First, Roger advises companies on developing strategic approaches to achieve their goals in light of rapidly developing demands to addressclimate change, promote sustainability and utilize clean energy. Second, Roger handles a broad range of environmental and natural resource litigation and mediation. Third, Roger advises multinational companies on compliance with environmental laws in the United States, China, the European Union and other nations.
Roger counsels approximately 50 of the world’s leading conventional and renewable energy, industrial, transportation, agricultural, forestry, and technology companies on bet-the-company environmental issues, regulatory matters, and litigation including transitioning to an era of legal controls addressing greenhouse gas emissions, increasingly stringent pollutant controls, alternative and clean energy, hydraulic fracturing, and sustainability both in the United States and abroad.
Roger employs a strategic, forward-looking approach to solving emerging law and policy issues across the world that have the potential to create both opportunities and risks for domestic and multinational energy and manufacturing companies and industries. Roger’s approach is to build a collaborative and coalition-building framework that seeks the strongest possible results through up front coordination with government, industry, and NGO stakeholders, leveraging strong honest broker relations with government officials and understanding of government approach to realize resolutions that have led to extraordinary favorable resolutions offering significant regulatory relief to industries and pennies-on-the-dollar enforcement settlements for companies.
Roger was unanimously confirmed by the United States Senate as EPA General Counsel. In that role, Roger served as EPA’s chief legal advisor supervising an office of 350 lawyers and staff in Washington and 10 regional offices. In particular, Roger led the team responsible for developing for the first time under the Clean Air Act the federal government’s climate change legal framework and options in response to the landmark Supreme Court decision Massachusetts v. EPA, which held greenhouse gases to be air pollutants under the Clean Air Act.
University of Maryland School of Law and President, Center for Progressive Reform
Rena Steinzor is a Professor at the University of Maryland School of Law and teaches an environmental survey course, as well as offerings in risk assessment, critical issues in law and science, legal methods, contracts, and an introduction to the administrative system. During the course of her academic career, Professor Steinzor has written extensively on efforts to reinvent environmental regulation in the United States, the use and misuse of science in environmental policy making, and the devolution of legal and administrative authority to the states.
Professor Steinzor edited the book A New Progressive Agenda for Public Health and the Environment (Carolina Academic Press 2005) with Professor Christopher Schroeder of the Duke Law School. The book proposes an alternative set of values and principles that should guide efforts to reform environmental law. She worked with Professor Wendy Wagner of the University of Texas School of Law, to edit a book of essays by prominent academics entitled Rescuing Science from Politics (Cambridge University Press, 2005) writing an introduction and conclusion summarizing the issues and recommendations suggested by the book. Professor Steinzor's book entitled Mother Earth and Uncle Sam: How Pollution and Hollow Government Hurt Our Kids was published by the University of Texas Press in the fall of 2007.
Professor Steinzor is the president of the Center for Progressive Reform (CPR) (http://www.progressivereform.org/), a think tank comprised of some 52 member scholars from universities across the United States. CPR is committed to developing and sharing knowledge and information, with the ultimate aim of preserving the fundamental value of the life and health of human beings and the natural environment. One component of CPR's mission is to circulate academic papers, studies, and other analyses that promote public policy based on the multiple social values that motivated the enactment of our nation's health, safety and environmental laws. CPR seeks to inform the public about scholarship that envisions government as an arena where members of society choose and preserve their collective values. CPR rejects the idea that government's only function is to increase the economic efficiency of private markets.
Before joining the law school faculty, Professor Steinzor was the partner in charge of the environmental practice at Spiegel & McDiarmid, a Washington D.C. Law firm specializing in the representation of state and local government entities in the energy and environmental areas. Prior to joining the firm, Professor Steinzor was counsel to the Subcommittee on Commerce, Transportation & Tourism of the House Energy & Commerce Committee, which was then chaired by James J. Florio (D-N.J.). She advised the Subcommittee during its consideration of the Superfund Amendments and Reauthorization Act of 1986 and the Asbestos Hazard Emergency Response Act of 1986. She also served as an attorney advisor to Commissioner Patricia P. Bailey of the Federal Trade Commission and worked as a consumer protection attorney at the FTC in various staff positions.
Partner, Bingham McCutchen LLP
Hill Wellford advises clients in antitrust matters, especially those relating to government enforcement or the intersection between technology, intellectual property and competition.
Prior to joining Bingham, Hill was chief of staff at the Antitrust Division of the U.S. Department of Justice in Washington, D.C., where he oversaw the full range of criminal, merger, civil conduct and international work by the Antitrust Division's 400+ lawyers and economists. Before becoming chief of staff, he served as a counsel to the assistant attorney general and as a trial attorney in the Antitrust Division's Legal Policy Section. He also worked extensively with other components and task forces of the broader Department of Justice - including the department's Intellectual Property Task Force, from 2004 to 2009 - and the Federal Trade Commission and other U.S. and foreign government agencies.
Hill's experience includes matters at the Antitrust Division, where he worked directly on merger and non-merger conduct challenges, and private practice, where he has handled mergers and acquisitions; criminal investigations; civil conduct challenges; and jury, bench and administrative trials. He also litigated patent and other intellectual property cases earlier in his career, and he is a recognized authority on the interplay between the antitrust and IP laws.
Hill's counseling practice covers all aspects of antitrust law and many issues of related consumer protection law. He has taught and lectured widely on antitrust and technology issues, both in the U.S. and abroad, and has taught antitrust seminars to businesses, lawyers at the Department of Justice, U.S. agencies, foreign officials and a formal course at Vanderbilt University Law School. He serves in a leadership position in the American Bar Association's Section of Antitrust and currently edits the newsletter of the ABA's Federal Civil Enforcement Committee.
Assistant Attorney General, Environment and Natural Resources Division, U.S. Department of Justice
Jeffrey Bossert Clark was born in Philadelphia, Pennsylvania on April 17, 1967. He is a graduate of Harvard University (A.B. in economics and history, 1989), the University of Delaware (M.A. in urban affairs and public policy, 1993), and the Georgetown University Law Center (J.D., 1995).
Mr. Clark began his career working for the State of Delaware’s Department of Finance, Division of Revenue as an economics analyst in the field of tax policy. During his tenure from 1989 to 1992, he authored several white papers analyzing Delaware revenue sources. Delaware also selected Mr. Clark to submit an economic report and affidavit to the United States Supreme Court in the original jurisdiction case of Delaware v. New York, 507 U.S. 490 (1993).
He entered Georgetown’s law school in 1992 where he earned honors as an articles editor of the Georgetown Law Journal, an Olin Law & Economics Fellow, and a member of the Order of the Coif. From 1995 to 1996, Mr. Clark clerked for Judge Boggs of the U.S. Court of Appeals of the Sixth Circuit. Mr. Clark then joined the law firm of Kirkland & Ellis as an associate from 1996-2001. He worked as an appellate litigator on numerous Supreme Court and other appellate cases and developed expertise in administrative law, statutory interpretation, as well as antitrust, labor, environmental, and telecommunications law.
Mr. Clark went on to serve in ENRD from 2001-2005 as a Deputy Assistant Attorney General selected by Attorney General Ashcroft and Assistant Attorney General Tom Sansonetti. In that capacity, he supervised ENRD’s Appellate and Indian Resources Sections. He reviewed, edited, and contributed to virtually every brief that ENRD filed in the Courts of Appeals, including several cases of exceptional significance that he personally briefed and argued. During his service in the early 2000s, Mr. Clark argued and won numerous cases in multiple U.S. Courts of Appeals and worked on all Supreme Court cases arising out of ENRD’s work.
In 2005, Mr. Clark returned to Kirkland & Ellis LLP as a partner, where he litigated until his return to ENRD in 2018. There he worked on numerous multi-billion-dollar matters and continued to argue many appellate cases. His practice operated at all levels — appellate litigation, trial court litigation, agency proceedings, and regulatory and litigation counseling. He has been named a Super Lawyer for multiple years running, highlighted in the Legal 500, named to the “Legal Who’s Who for Environmental Law” in Corporate Responsibility Magazine, rated A.V. preeminent by Martindale Hubbell, and named a member of the National Association of Distinguished Counsel’s Nation’s One Percent. He also was named one of America’s Top 100 High Stakes Litigators.
President Trump nominated Mr. Clark to be the Assistant Attorney General of the Environment and Natural Resources Division (ENRD) on June 7, 2017. He was confirmed by the U.S. Senate on October 11, 2018 and sworn into office on November 1, 2018, followed by an investiture ceremony on November 15, 2018.
Director, Climate & Clean Air Program, Natural Resources Defense Council
David Doniger has been at the forefront of the battle against air pollution and global climate change since he joined NRDC in 1978. He helped formulate the Montreal Protocol, an international agreement designed to stop the depletion of the earth's ozone layer, as well as several essential amendments to the Clean Air Act. In 1993, he left NRDC to serve on the White House Council on Environmental Quality, followed by key posts at the U.S. Environmental Protection Agency. He rejoined NRDC in 2001 and has since been working to defend the Clean Air Act from assaults in Congress. He is based in Washington, D.C.
Partner, Sidley Austin LLP
ROGER MARTELLA co-leads the Environmental practice group at Sidley Austin LLP. He rejoined Sidley Austin LLP after serving as the General Counsel of the United States Environmental Protection Agency, concluding 10 years of litigating and handling complex environmental and natural resource matters at the Department of Justice and EPA. In 2015, Roger was recognized by Who’s Who Legal as the environmental lawyer of the year globally.
Roger’s practice focuses on three primary areas. First, Roger advises companies on developing strategic approaches to achieve their goals in light of rapidly developing demands to addressclimate change, promote sustainability and utilize clean energy. Second, Roger handles a broad range of environmental and natural resource litigation and mediation. Third, Roger advises multinational companies on compliance with environmental laws in the United States, China, the European Union and other nations.
Roger counsels approximately 50 of the world’s leading conventional and renewable energy, industrial, transportation, agricultural, forestry, and technology companies on bet-the-company environmental issues, regulatory matters, and litigation including transitioning to an era of legal controls addressing greenhouse gas emissions, increasingly stringent pollutant controls, alternative and clean energy, hydraulic fracturing, and sustainability both in the United States and abroad.
Roger employs a strategic, forward-looking approach to solving emerging law and policy issues across the world that have the potential to create both opportunities and risks for domestic and multinational energy and manufacturing companies and industries. Roger’s approach is to build a collaborative and coalition-building framework that seeks the strongest possible results through up front coordination with government, industry, and NGO stakeholders, leveraging strong honest broker relations with government officials and understanding of government approach to realize resolutions that have led to extraordinary favorable resolutions offering significant regulatory relief to industries and pennies-on-the-dollar enforcement settlements for companies.
Roger was unanimously confirmed by the United States Senate as EPA General Counsel. In that role, Roger served as EPA’s chief legal advisor supervising an office of 350 lawyers and staff in Washington and 10 regional offices. In particular, Roger led the team responsible for developing for the first time under the Clean Air Act the federal government’s climate change legal framework and options in response to the landmark Supreme Court decision Massachusetts v. EPA, which held greenhouse gases to be air pollutants under the Clean Air Act.
University of Maryland School of Law and President, Center for Progressive Reform
Rena Steinzor is a Professor at the University of Maryland School of Law and teaches an environmental survey course, as well as offerings in risk assessment, critical issues in law and science, legal methods, contracts, and an introduction to the administrative system. During the course of her academic career, Professor Steinzor has written extensively on efforts to reinvent environmental regulation in the United States, the use and misuse of science in environmental policy making, and the devolution of legal and administrative authority to the states.
Professor Steinzor edited the book A New Progressive Agenda for Public Health and the Environment (Carolina Academic Press 2005) with Professor Christopher Schroeder of the Duke Law School. The book proposes an alternative set of values and principles that should guide efforts to reform environmental law. She worked with Professor Wendy Wagner of the University of Texas School of Law, to edit a book of essays by prominent academics entitled Rescuing Science from Politics (Cambridge University Press, 2005) writing an introduction and conclusion summarizing the issues and recommendations suggested by the book. Professor Steinzor's book entitled Mother Earth and Uncle Sam: How Pollution and Hollow Government Hurt Our Kids was published by the University of Texas Press in the fall of 2007.
Professor Steinzor is the president of the Center for Progressive Reform (CPR) (http://www.progressivereform.org/), a think tank comprised of some 52 member scholars from universities across the United States. CPR is committed to developing and sharing knowledge and information, with the ultimate aim of preserving the fundamental value of the life and health of human beings and the natural environment. One component of CPR's mission is to circulate academic papers, studies, and other analyses that promote public policy based on the multiple social values that motivated the enactment of our nation's health, safety and environmental laws. CPR seeks to inform the public about scholarship that envisions government as an arena where members of society choose and preserve their collective values. CPR rejects the idea that government's only function is to increase the economic efficiency of private markets.
Before joining the law school faculty, Professor Steinzor was the partner in charge of the environmental practice at Spiegel & McDiarmid, a Washington D.C. Law firm specializing in the representation of state and local government entities in the energy and environmental areas. Prior to joining the firm, Professor Steinzor was counsel to the Subcommittee on Commerce, Transportation & Tourism of the House Energy & Commerce Committee, which was then chaired by James J. Florio (D-N.J.). She advised the Subcommittee during its consideration of the Superfund Amendments and Reauthorization Act of 1986 and the Asbestos Hazard Emergency Response Act of 1986. She also served as an attorney advisor to Commissioner Patricia P. Bailey of the Federal Trade Commission and worked as a consumer protection attorney at the FTC in various staff positions.
Partner, Bingham McCutchen LLP
Hill Wellford advises clients in antitrust matters, especially those relating to government enforcement or the intersection between technology, intellectual property and competition.
Prior to joining Bingham, Hill was chief of staff at the Antitrust Division of the U.S. Department of Justice in Washington, D.C., where he oversaw the full range of criminal, merger, civil conduct and international work by the Antitrust Division's 400+ lawyers and economists. Before becoming chief of staff, he served as a counsel to the assistant attorney general and as a trial attorney in the Antitrust Division's Legal Policy Section. He also worked extensively with other components and task forces of the broader Department of Justice - including the department's Intellectual Property Task Force, from 2004 to 2009 - and the Federal Trade Commission and other U.S. and foreign government agencies.
Hill's experience includes matters at the Antitrust Division, where he worked directly on merger and non-merger conduct challenges, and private practice, where he has handled mergers and acquisitions; criminal investigations; civil conduct challenges; and jury, bench and administrative trials. He also litigated patent and other intellectual property cases earlier in his career, and he is a recognized authority on the interplay between the antitrust and IP laws.
Hill's counseling practice covers all aspects of antitrust law and many issues of related consumer protection law. He has taught and lectured widely on antitrust and technology issues, both in the U.S. and abroad, and has taught antitrust seminars to businesses, lawyers at the Department of Justice, U.S. agencies, foreign officials and a formal course at Vanderbilt University Law School. He serves in a leadership position in the American Bar Association's Section of Antitrust and currently edits the newsletter of the ABA's Federal Civil Enforcement Committee.
Civil Rights: Immigration, the Arizona Statute, and E Pluribus Unum
Roger B. Clegg, James C. Ho, Kris W. Kobach, Margaret D. Stock
2010 National Lawyers Convention
Mr. Roger Clegg, President and General Counsel, Center for Equal Opportunity Hon. Kris W. Kobach, Daniel...
Civil Rights: Immigration, the Arizona Statute, and E Pluribus Unum
Roger B. Clegg, James C. Ho, Kris W. Kobach, Margaret D. Stock
2010 National Lawyers Convention
Mr. Roger Clegg, President and General Counsel, Center for Equal Opportunity Hon. Kris W. Kobach, Daniel...
Showcase Panel IV: Ideas for Structural Change: Term Limits, Reviving the Right to Civil Jury Trial, Moving Administrative Law Judges to Article III, and Others
Lillian R. BeVier, Michael A. Carvin, Douglas T. Kendall, Patrick McSweeney, Diane S. Sykes, Gibson Vance
2010 National Lawyers Convention
Are there structural ways that are practically plausible to limit or reduce the power of...
Showcase Panel IV: Ideas for Structural Change: Term Limits, Reviving the Right to Civil Jury Trial, Moving Administrative Law Judges to Article III, and Others
Lillian R. BeVier, Michael A. Carvin, Douglas T. Kendall, Patrick McSweeney, Diane S. Sykes, Gibson Vance
2010 National Lawyers Convention
Are there structural ways that are practically plausible to limit or reduce the power of...
Corporations: The Creeping Federalization of Corporate Governance Law: The Dodd-Frank Bill
Paul S. Atkins, Lawrence A. Hamermesh, Jeffrey P. Mahoney, Brandon Rees, Sarah B. Teslik
2010 National Lawyers Convention
Hon. Paul S. Atkins, Managing Director, Patomak Partners and former Commissioner, U.S. Securities & Exchange...
Corporations: The Creeping Federalization of Corporate Governance Law: The Dodd-Frank Bill
Paul S. Atkins, Lawrence A. Hamermesh, Jeffrey P. Mahoney, Brandon Rees, Sarah B. Teslik
2010 National Lawyers Convention
Hon. Paul S. Atkins, Managing Director, Patomak Partners and former Commissioner, U.S. Securities & Exchange...
Third Annual Rosenkranz Debate and Luncheon
Richard A. Epstein, William N. Eskridge, Robert S. Smith, Eugene B. Meyer
2010 National Lawyers Convention
A Debate on the Constitutionality of Proposition 8 Prof. Richard A. Epstein, Laurence A. Tisch...
Third Annual Rosenkranz Debate and Luncheon
Richard A. Epstein, William N. Eskridge, Robert S. Smith, Eugene B. Meyer
2010 National Lawyers Convention
A Debate on the Constitutionality of Proposition 8 Prof. Richard A. Epstein, Laurence A. Tisch...
Environmental Law: EPA: An Agency Gone Wild or Just Doing Its Job?
Jeffrey Bossert Clark, David D. Doniger, Roger Martella, Rena I. Steinzor, Hill Wellford
2010 National Lawyers Convention
Mr. Jeffrey B. Clark, Partner, Kirkland & Ellis LLP Mr. David D. Doniger, Natural Resources...
Environmental Law: EPA: An Agency Gone Wild or Just Doing Its Job?
Jeffrey Bossert Clark, David D. Doniger, Roger Martella, Rena I. Steinzor, Hill Wellford
2010 National Lawyers Convention
Mr. Jeffrey B. Clark, Partner, Kirkland & Ellis LLP Mr. David D. Doniger, Natural Resources...