Deputy Chief Counsel, U.S. Chamber Litigation Center, U.S. Chamber of Commerce
Jennifer B. Dickey is deputy chief counsel at the U.S. Chamber Litigation Center, the litigation arm of the U.S. Chamber of Commerce. Dickey handles a variety of litigation matters for the Chamber.
Dickey joined the Chamber following her service as Acting Assistant Attorney General and Principal Deputy Assistant Attorney General in the Civil Division at the U.S. Department of Justice. She also previously served as Deputy Associate Attorney General, providing strategic oversight of the Civil Division, Civil Rights Division, and Foreign Claims Settlement Commission, as well as Special Assistant to the President and Associate Counsel to the President. In the latter capacity, she provided legal advice on a wide array of executive actions and rulemakings, civil litigation, and judicial nominations.
Dickey also practiced law at Kirkland & Ellis LLP before her government service. She was a commercial and appellate litigator, representing businesses in federal and state courts.
Earlier in her career, Dickey served as a law clerk for the Honorable Clarence Thomas of the Supreme Court of the United States and the Honorable William H. Pryor Jr. of the United States Court of Appeals for the Eleventh Circuit.
Dickey earned her law degree magna cum laude from Duke University School of Law, where she was an Executive Editor of the Duke Law Journal, and her undergraduate degree magna cum laude from Dartmouth College.
Professor of Law, Widener University Commonwealth Law School
Counsel, Lehotsky Keller Cohn LLP
Shannon Grammel is a litigator with experience at all levels of federal and state courts.
Ms. Grammel has represented both private- and public-sector clients in a broad array of substantive legal areas, including constitutional law, administrative law, election law, and complex commercial litigation. Ms. Grammel has authored briefs before the Supreme Court of the United States, several federal courts of appeals, multiple state supreme courts, and federal and state trial courts. She has also argued in state appellate court and has participated in both federal- and state-court trials.
Before joining Lehotsky Keller Cohn LLP, Ms. Grammel served as Deputy Solicitor General of Kansas. Before that, she was a member of the Supreme Court & Appellate group in Latham & Watkins LLP’s Washington D.C. office.
Ms. Grammel served as a law clerk for Justice Brett M. Kavanaugh of the Supreme Court of the United States and Judge J. Harvie Wilkinson III of the U.S. Court of Appeals for the Fourth Circuit. Ms. Grammel earned her law degree from Stanford Law School, where she was President of the Stanford Law Review.
Senior Attorney, Institute for Free Speech
Brett Nolan is a Senior Attorney at the Institute for Free Speech, a public interest law firm that defends the First Amendment rights of those engaged in political speech and advocacy around the country.
Before joining the Institute, Brett served as the Principal Deputy Solicitor General of Kentucky, where he represented the Commonwealth in a wide variety of high-stakes litigation at every level of state and federal court. In that role, Brett led a successful challenge against the Department of Treasury over the constitutionality of a federal law limiting the ability of states to modify their tax codes, and he helped secure a U.S. Supreme Court victory that upheld a state’s constitutional right to defend its interests in federal court.
Prior to that, Brett served as the Deputy General Counsel to the former Governor of Kentucky, where he advised the governor and other executive branch officials on legal and policy issues and represented them in litigation. Brett clerked for Judge John Nalbandian of the U.S. Court of Appeals for the Sixth Circuit and Judge Karen K. Caldwell of the U.S. District Court for the Eastern District of Kentucky. Between clerkships, he worked in private practice. Brett received his law degree from the University of Chicago Law School, where he graduated with High Honors and was an editor of The University of Chicago Law Review.
Partner, Bailey Glasser LLP
Greg Porter has extensive trial and class action experience in complex pension, 401(k) plan, and employee stock ownership plan (ESOPs) lawsuits in federal court. Greg has led Bailey Glasser’s ERISA and trust practice to major trial and appellate victories, including seminal decisions in the Seventh and Fourth Circuit Courts of Appeal and a $30 million trial judgment that broke new ground for ESOPs. With co-counsel, the firm’s ERISA practice won a 9-0 decision in the Supreme Court, Intel Corp v. Sulyma, that established key statute of limitations rights for employees in ERISA cases.
Greg has recovered hundreds of millions of dollars on behalf of employees who lost retirement savings in 401(k) plans and ESOPs. He understands complex financial transactions, investments, and instruments.
Greg has also developed techniques for successfully investigating and prosecuting complex lawsuits involving business valuation, securities lending, hedge funds, and private equity. He has argued appeals in the Second, Fourth, Sixth and Eighth U.S. Circuit Courts of Appeal.
Senior Fellow, Stand Together Trust
Vikrant Reddy is a senior fellow at Stand Together Trust, specializing in the area of criminal justice reform. Reddy previously served as a senior policy analyst at the Texas Public Policy Foundation (TPPF), where he managed the launch of TPPF’s national Right on Crime initiative in 2010. He has worked as a research assistant at the Cato Institute, as a judicial clerk to the Hon. Gina M. Benavides in Texas, and as an attorney in private practice. He is a member of the State Bar of Texas, and he serves on the Executive Committee of the Criminal Law Practice Group of the Federalist Society. He is also an appointee to the U.S. Commission on Civil Rights Texas State Advisory Committee.
Reddy’s research and scholarly opinions have appeared in a range of national media outlets, including USA Today, National Review, The Federalist, and others.
Reddy earned his law degree from the Southern Methodist University School of Law. He received his undergraduate degree from the University of Texas at Austin.
Partner, Consovoy McCarthy PLLC
Mr. Weir is an experienced litigator who focuses on constitutional and regulatory matters. He has particular expertise in cases involving the First and Fourteenth Amendments, civil rights statutes, and challenges to federal agency actions. He has briefed and presented oral argument in state and federal courts across the country, including in the Supreme Court of the United States. He was trial counsel and part of the team that prevailed before the Supreme Court in the landmark case Students for Fair Admissions, Inc. v. Harvard College and University of North Carolina.
Since 2015, Mr. Weir has been an adjunct professor for the Administrative Law and Supreme court clinics at the Antonin Scalia Law School at George Mason University. He is a former law clerk to Judge Carlos T. Bea of the United States Court of Appeals for the Ninth Circuit and Judge Anthony J. Trenga of the United States District Court for the Eastern District of Virginia. He earned his A.B. cum laude from Georgetown University and his J.D. summa cum laude from George Mason University School of Law.
Deputy Chief Counsel, U.S. Chamber Litigation Center, U.S. Chamber of Commerce
Jennifer B. Dickey is deputy chief counsel at the U.S. Chamber Litigation Center, the litigation arm of the U.S. Chamber of Commerce. Dickey handles a variety of litigation matters for the Chamber.
Dickey joined the Chamber following her service as Acting Assistant Attorney General and Principal Deputy Assistant Attorney General in the Civil Division at the U.S. Department of Justice. She also previously served as Deputy Associate Attorney General, providing strategic oversight of the Civil Division, Civil Rights Division, and Foreign Claims Settlement Commission, as well as Special Assistant to the President and Associate Counsel to the President. In the latter capacity, she provided legal advice on a wide array of executive actions and rulemakings, civil litigation, and judicial nominations.
Dickey also practiced law at Kirkland & Ellis LLP before her government service. She was a commercial and appellate litigator, representing businesses in federal and state courts.
Earlier in her career, Dickey served as a law clerk for the Honorable Clarence Thomas of the Supreme Court of the United States and the Honorable William H. Pryor Jr. of the United States Court of Appeals for the Eleventh Circuit.
Dickey earned her law degree magna cum laude from Duke University School of Law, where she was an Executive Editor of the Duke Law Journal, and her undergraduate degree magna cum laude from Dartmouth College.
Professor of Law, Widener University Commonwealth Law School
Counsel, Lehotsky Keller Cohn LLP
Shannon Grammel is a litigator with experience at all levels of federal and state courts.
Ms. Grammel has represented both private- and public-sector clients in a broad array of substantive legal areas, including constitutional law, administrative law, election law, and complex commercial litigation. Ms. Grammel has authored briefs before the Supreme Court of the United States, several federal courts of appeals, multiple state supreme courts, and federal and state trial courts. She has also argued in state appellate court and has participated in both federal- and state-court trials.
Before joining Lehotsky Keller Cohn LLP, Ms. Grammel served as Deputy Solicitor General of Kansas. Before that, she was a member of the Supreme Court & Appellate group in Latham & Watkins LLP’s Washington D.C. office.
Ms. Grammel served as a law clerk for Justice Brett M. Kavanaugh of the Supreme Court of the United States and Judge J. Harvie Wilkinson III of the U.S. Court of Appeals for the Fourth Circuit. Ms. Grammel earned her law degree from Stanford Law School, where she was President of the Stanford Law Review.
Senior Attorney, Institute for Free Speech
Brett Nolan is a Senior Attorney at the Institute for Free Speech, a public interest law firm that defends the First Amendment rights of those engaged in political speech and advocacy around the country.
Before joining the Institute, Brett served as the Principal Deputy Solicitor General of Kentucky, where he represented the Commonwealth in a wide variety of high-stakes litigation at every level of state and federal court. In that role, Brett led a successful challenge against the Department of Treasury over the constitutionality of a federal law limiting the ability of states to modify their tax codes, and he helped secure a U.S. Supreme Court victory that upheld a state’s constitutional right to defend its interests in federal court.
Prior to that, Brett served as the Deputy General Counsel to the former Governor of Kentucky, where he advised the governor and other executive branch officials on legal and policy issues and represented them in litigation. Brett clerked for Judge John Nalbandian of the U.S. Court of Appeals for the Sixth Circuit and Judge Karen K. Caldwell of the U.S. District Court for the Eastern District of Kentucky. Between clerkships, he worked in private practice. Brett received his law degree from the University of Chicago Law School, where he graduated with High Honors and was an editor of The University of Chicago Law Review.
Partner, Bailey Glasser LLP
Greg Porter has extensive trial and class action experience in complex pension, 401(k) plan, and employee stock ownership plan (ESOPs) lawsuits in federal court. Greg has led Bailey Glasser’s ERISA and trust practice to major trial and appellate victories, including seminal decisions in the Seventh and Fourth Circuit Courts of Appeal and a $30 million trial judgment that broke new ground for ESOPs. With co-counsel, the firm’s ERISA practice won a 9-0 decision in the Supreme Court, Intel Corp v. Sulyma, that established key statute of limitations rights for employees in ERISA cases.
Greg has recovered hundreds of millions of dollars on behalf of employees who lost retirement savings in 401(k) plans and ESOPs. He understands complex financial transactions, investments, and instruments.
Greg has also developed techniques for successfully investigating and prosecuting complex lawsuits involving business valuation, securities lending, hedge funds, and private equity. He has argued appeals in the Second, Fourth, Sixth and Eighth U.S. Circuit Courts of Appeal.
Senior Fellow, Stand Together Trust
Vikrant Reddy is a senior fellow at Stand Together Trust, specializing in the area of criminal justice reform. Reddy previously served as a senior policy analyst at the Texas Public Policy Foundation (TPPF), where he managed the launch of TPPF’s national Right on Crime initiative in 2010. He has worked as a research assistant at the Cato Institute, as a judicial clerk to the Hon. Gina M. Benavides in Texas, and as an attorney in private practice. He is a member of the State Bar of Texas, and he serves on the Executive Committee of the Criminal Law Practice Group of the Federalist Society. He is also an appointee to the U.S. Commission on Civil Rights Texas State Advisory Committee.
Reddy’s research and scholarly opinions have appeared in a range of national media outlets, including USA Today, National Review, The Federalist, and others.
Reddy earned his law degree from the Southern Methodist University School of Law. He received his undergraduate degree from the University of Texas at Austin.
Partner, Consovoy McCarthy PLLC
Mr. Weir is an experienced litigator who focuses on constitutional and regulatory matters. He has particular expertise in cases involving the First and Fourteenth Amendments, civil rights statutes, and challenges to federal agency actions. He has briefed and presented oral argument in state and federal courts across the country, including in the Supreme Court of the United States. He was trial counsel and part of the team that prevailed before the Supreme Court in the landmark case Students for Fair Admissions, Inc. v. Harvard College and University of North Carolina.
Since 2015, Mr. Weir has been an adjunct professor for the Administrative Law and Supreme court clinics at the Antonin Scalia Law School at George Mason University. He is a former law clerk to Judge Carlos T. Bea of the United States Court of Appeals for the Ninth Circuit and Judge Anthony J. Trenga of the United States District Court for the Eastern District of Virginia. He earned his A.B. cum laude from Georgetown University and his J.D. summa cum laude from George Mason University School of Law.
Solicitor, U.S. Department of Labor
Jonathan Berry is Solicitor at the U.S. Department of Labor, in service to President Trump’s agenda to put American workers first. He leads the Department’s lawyers in advising the Secretary and agency leadership on all aspects of law and in representing the Department in court. He was previously managing partner at Boyden Gray PLLC, where he provided strategic counsel and litigated on issues at the intersection of law, politics, and public policy. Earlier, he headed the regulatory office at Labor, and also served at the Department of Justice, in the first Trump Administration. Mr. Berry served as a law clerk to Judge Jerry E. Smith of the United States Court of Appeals for the Fifth Circuit, and to Associate Justice Samuel A. Alito, Jr., of the Supreme Court of the United States.
Attorney General, Office of the Iowa Attorney General
In November 2022, Brenna Bird was elected as Iowa Attorney General – the first Republican to hold the office since 1979.
Before taking office as Iowa Attorney General, Brenna served as a prosecutor for six years, first as the Fremont County Attorney and then since 2018 as the Guthrie County Attorney. She was elected by her fellow county attorneys to leadership roles with the Iowa County Attorney Association, and served as the Association's President.
Brenna has also engaged in the private practice of law, worked in the Iowa Governor’s Office and the U.S. House of Representatives, and taught as an adjunct professor at the University of Iowa College of Law.
Born and raised on an Iowa farm, where she was homeschooled. Brenna graduated from Drake University and went on to receive her J.D. from the University of Chicago Law School, where she served as symposium editor of the school’s law journal. In addition to her law studies, Brenna also helped entrepreneurs on Chicago’s South Side start their own businesses.
Partner, King & Spalding
A partner in the firm’s Government Advocacy and Public Policy group, J.C. helps companies and trade associations navigate legal, political and regulatory issues commonly associated with doing business in Europe and the United States. He is recognized by clients for his strong, bipartisan relationships with Members of Congress, State Attorneys General, congressional staff and senior government officials across key regulatory and executive branch agencies. He is trusted for his ability to rapidly synthesize complex information and communicate its strategic implications to policymakers and senior institutional stakeholders as well as his candid evaluation of options and potential for success.
As former counsel to the Senate Banking Committee, J.C has developed a deep expertise in financial services, fintech, and emerging technology policy. He has a proven track record of influencing federal legislation, regulatory frameworks, and agency rulemaking impacting digital assets, banking, payments, and technology platforms. J.C. regularly interfaces with financial regulators on a wide array of policy and institution-specific issues, and as co-chair of the firm’s State Attorneys General practice, delivers results on high-impact legal work at the intersection of law, policy and regulation.
J.C. is skilled in developing and executing comprehensive advocacy strategies, shaping legislative language, and positioning clients to successfully navigate complex and evolving policy environments at the federal, state and international levels. As President of the Parliamentary Intelligence-Security Forum, he has briefed policymakers throughout Europe, Africa, Latin America, and the Indo-Pacific. JC also advises international clients seeking to invest, expand, or operate in the United States.
President George W. Bush appointed J.C. to a six-year term as U.S. representative to the World Bank’s International Centre for Settlement of Investment Disputes (ICSID). Mayor Muriel Bowser also appointed J.C. to the District of Columbia; Board of Elections, in which capacity he also served on the U.S. Election Assistance Commission Standards Board. He is currently chairman of the Board of Visitors of The Catholic University Columbus School of Law and President of the Parliamentary Intelligence-Security Forum, where he is a regular speaker on cryptocurrency, artificial intelligence and critical minerals.
Earlier in his career, J.C. established the Boggs Scholarship for Public Service at the University of Delaware in honor of his grandfather and namesake, former U.S. Congressman, Senator and Governor of Delaware, J. Caleb Boggs. He has also served on numerous corporate and non-profit boards, including Jobs for Delaware Graduates (Chairman); The Reserve Trust Company (Vice Chairman), Global Center for Social Entrepreneurship Network (Secretary), Republican National Lawyers Association (President), Kimball Union Academy (Chairman of the Committee on Trustees), and AAA Mid-Atlantic.
J.C. enjoys open-water swimming and is member of U.S. Masters Swimming and the historic Serpentine Swimming Club situated in London's Hyde Park. He has competed in swimming events across all 50 states, ten Canadian provinces and around the world.
Former Senator of Kansas and Ambassador-at-Large for International Religious Freedom
Samuel Dale Brownback is an American attorney, politician, and diplomat who served as a United States senator from Kansas from 1996 to 2011 and as the 46th governor of Kansas from 2011 to 2018. Brownback also served as the United States Ambassador-at-Large for International Religious Freedom during the administration of President Donald Trump and was a candidate for the Republican nomination for President in 2008.
Born in Garnett, Kansas, Brownback grew up on a family farm in Parker, Kansas. He graduated from Kansas State University with a degree in agricultural economics in 1978 and received a J.D. from the University of Kansas in 1982. He worked as an attorney in Manhattan, Kansas, before being appointed Secretary of Agriculture of Kansas in 1986 by Democratic Governor John W. Carlin. Brownback ran for Congress in 1994 and defeated Carlin in the general election in a landslide. He represented Kansas's 2nd congressional district for a single term before running in a 1996 special election for the U.S. Senate seat previously held by Bob Dole. He won the election and was reelected by large margins in 1998 and 2004.
Class of 1965 Associate Professor of Financial Regulation, Associate Professor of Legal Studies & Business Ethics, The Wharton School of the University of Pennsylvania
Peter Conti-Brown is an assistant professor of legal studies and business ethics at The Wharton School of the University of Pennsylvania. A financial historian and a legal scholar, Professor Conti-Brown studies central banking, financial regulation, and public finance, with a particular focus on the history and policies of the US Federal Reserve System. He is author of the book The Power and Independence of the Federal Reserve (Princeton University Press 2016), the editor of two other books, and author or co-author of a dozen articles on central banking, financial regulation, and bank corporate governance. He has been widely quoted in print and online media on central banking and has testified before the US Senate Banking Committee on reforming the Federal Reserve. He holds degrees from Harvard College, Stanford Law School, and Princeton University’s Department of History. He is currently at work on a single-volume, comprehensive history of the US Federal Reserve.
Professor Conti-Brown is married and the father of two children.
United States Senator, North Dakota, U.S. Senate
Kevin Cramer was elected to the United States Senate on November 6, 2018 after serving three terms as North Dakota’s At-Large Member of the United States House of Representatives. He is the first Republican to hold this Senate seat in his lifetime. He serves on the Armed Services, Environment and Public Works, Veterans Affairs, and Banking, Housing and Urban Affairs Committees.
While a member of the House, Cramer made constituent outreach a top priority, describing interacting with the public as “the best part of public service.” According to Legistorm, the Capitol Hill government issues website, Cramer held more town halls than any other Member during several of his years in the House.
Cramer has had a distinguished career in public service. In 2003, then-Governor John Hoeven appointed Cramer to the Public Service Commission, and in 2004 he was elected to the position. As a North Dakota Public Service Commissioner, Cramer helped oversee the most dynamic economy in the nation. He worked to ensure North Dakotans enjoy some of the lowest utility rates in the United States, enhancing their competitive position in the global marketplace. An energy policy expert, Cramer understands America’s energy security is integral to national and economic security.
A strong advocate for the free market system, Cramer has a proven record of cutting and balancing budgets encouraging the private sector through limited, common sense regulations and limited government.
Cramer has a Bachelor of Arts degree from Concordia College in Moorhead, Minnesota, a Master’s degree in Management from the University of Mary in Bismarck, North Dakota, and was conferred the degree of Doctor of Leadership, honoris causa, by the University of Mary on May 4, 2013.
He is a native of Kindred, North Dakota, where he received his primary and secondary education. Kevin and his wife, Kris, have two adult sons, Isaac, who passed away in early 2018, and Ian; two adult daughters, Rachel and Annie; a teenage son, Abel; three granddaughters, Lyla, Willa, and Eve; and three grandsons, Beau, Nico, and Chet.
Senior Counsel, Senior Vice President of Corporate Engagement, Alliance Defending Freedom
Jeremy Tedesco serves as senior counsel and senior vice president of corporate engagement for Alliance Defending Freedom. In this role, Tedesco leads ADF’s efforts to combat corporate cancel culture and build a business ethic that respects free speech, religious freedom, and human dignity.
Immediately preceding his current role, Tedesco served as senior vice president for communications, during which time he was a lead convener of the Philadelphia Statement, a movement dedicated to restoring free speech and civil discourse. Tedesco also launched a regular video series called Freedom Matters, profiling ADF clients, cases, and issues. The program included 24 videos in its first year, which more than 31 million people viewed.
Previously, Tedesco litigated First Amendment cases at the highest levels. He was part of the legal team that represented cake artist Jack Phillips in Masterpiece Cakeshop v. Colorado Civil Rights Commission before the U.S. Supreme Court and argued Phillips’ case at the Colorado Court of Appeals. He was also the lead brief writer in two other U.S. Supreme Court wins, Reed v. Town of Gilbert and Arizona Christian School Tuition Organization v. Winn. Tedesco has also argued six times before five different federal appellate courts and founded and directed the ADF Center for Conscience Initiatives, where he led efforts to protect individuals from government-coerced speech.
Numerous media outlets, including The Wall Street Journal, Fox News, CNN, The New York Times, USA Today, PBS, NPR, and National Review, have interviewed Tedesco or published his comments.
Tedesco earned his Juris Doctor in 2004 from the Regent University School of Law.
Attorney General, Office of the Iowa Attorney General
In November 2022, Brenna Bird was elected as Iowa Attorney General – the first Republican to hold the office since 1979.
Before taking office as Iowa Attorney General, Brenna served as a prosecutor for six years, first as the Fremont County Attorney and then since 2018 as the Guthrie County Attorney. She was elected by her fellow county attorneys to leadership roles with the Iowa County Attorney Association, and served as the Association's President.
Brenna has also engaged in the private practice of law, worked in the Iowa Governor’s Office and the U.S. House of Representatives, and taught as an adjunct professor at the University of Iowa College of Law.
Born and raised on an Iowa farm, where she was homeschooled. Brenna graduated from Drake University and went on to receive her J.D. from the University of Chicago Law School, where she served as symposium editor of the school’s law journal. In addition to her law studies, Brenna also helped entrepreneurs on Chicago’s South Side start their own businesses.
Partner, King & Spalding
A partner in the firm’s Government Advocacy and Public Policy group, J.C. helps companies and trade associations navigate legal, political and regulatory issues commonly associated with doing business in Europe and the United States. He is recognized by clients for his strong, bipartisan relationships with Members of Congress, State Attorneys General, congressional staff and senior government officials across key regulatory and executive branch agencies. He is trusted for his ability to rapidly synthesize complex information and communicate its strategic implications to policymakers and senior institutional stakeholders as well as his candid evaluation of options and potential for success.
As former counsel to the Senate Banking Committee, J.C has developed a deep expertise in financial services, fintech, and emerging technology policy. He has a proven track record of influencing federal legislation, regulatory frameworks, and agency rulemaking impacting digital assets, banking, payments, and technology platforms. J.C. regularly interfaces with financial regulators on a wide array of policy and institution-specific issues, and as co-chair of the firm’s State Attorneys General practice, delivers results on high-impact legal work at the intersection of law, policy and regulation.
J.C. is skilled in developing and executing comprehensive advocacy strategies, shaping legislative language, and positioning clients to successfully navigate complex and evolving policy environments at the federal, state and international levels. As President of the Parliamentary Intelligence-Security Forum, he has briefed policymakers throughout Europe, Africa, Latin America, and the Indo-Pacific. JC also advises international clients seeking to invest, expand, or operate in the United States.
President George W. Bush appointed J.C. to a six-year term as U.S. representative to the World Bank’s International Centre for Settlement of Investment Disputes (ICSID). Mayor Muriel Bowser also appointed J.C. to the District of Columbia; Board of Elections, in which capacity he also served on the U.S. Election Assistance Commission Standards Board. He is currently chairman of the Board of Visitors of The Catholic University Columbus School of Law and President of the Parliamentary Intelligence-Security Forum, where he is a regular speaker on cryptocurrency, artificial intelligence and critical minerals.
Earlier in his career, J.C. established the Boggs Scholarship for Public Service at the University of Delaware in honor of his grandfather and namesake, former U.S. Congressman, Senator and Governor of Delaware, J. Caleb Boggs. He has also served on numerous corporate and non-profit boards, including Jobs for Delaware Graduates (Chairman); The Reserve Trust Company (Vice Chairman), Global Center for Social Entrepreneurship Network (Secretary), Republican National Lawyers Association (President), Kimball Union Academy (Chairman of the Committee on Trustees), and AAA Mid-Atlantic.
J.C. enjoys open-water swimming and is member of U.S. Masters Swimming and the historic Serpentine Swimming Club situated in London's Hyde Park. He has competed in swimming events across all 50 states, ten Canadian provinces and around the world.
Former Senator of Kansas and Ambassador-at-Large for International Religious Freedom
Samuel Dale Brownback is an American attorney, politician, and diplomat who served as a United States senator from Kansas from 1996 to 2011 and as the 46th governor of Kansas from 2011 to 2018. Brownback also served as the United States Ambassador-at-Large for International Religious Freedom during the administration of President Donald Trump and was a candidate for the Republican nomination for President in 2008.
Born in Garnett, Kansas, Brownback grew up on a family farm in Parker, Kansas. He graduated from Kansas State University with a degree in agricultural economics in 1978 and received a J.D. from the University of Kansas in 1982. He worked as an attorney in Manhattan, Kansas, before being appointed Secretary of Agriculture of Kansas in 1986 by Democratic Governor John W. Carlin. Brownback ran for Congress in 1994 and defeated Carlin in the general election in a landslide. He represented Kansas's 2nd congressional district for a single term before running in a 1996 special election for the U.S. Senate seat previously held by Bob Dole. He won the election and was reelected by large margins in 1998 and 2004.
Class of 1965 Associate Professor of Financial Regulation, Associate Professor of Legal Studies & Business Ethics, The Wharton School of the University of Pennsylvania
Peter Conti-Brown is an assistant professor of legal studies and business ethics at The Wharton School of the University of Pennsylvania. A financial historian and a legal scholar, Professor Conti-Brown studies central banking, financial regulation, and public finance, with a particular focus on the history and policies of the US Federal Reserve System. He is author of the book The Power and Independence of the Federal Reserve (Princeton University Press 2016), the editor of two other books, and author or co-author of a dozen articles on central banking, financial regulation, and bank corporate governance. He has been widely quoted in print and online media on central banking and has testified before the US Senate Banking Committee on reforming the Federal Reserve. He holds degrees from Harvard College, Stanford Law School, and Princeton University’s Department of History. He is currently at work on a single-volume, comprehensive history of the US Federal Reserve.
Professor Conti-Brown is married and the father of two children.
United States Senator, North Dakota, U.S. Senate
Kevin Cramer was elected to the United States Senate on November 6, 2018 after serving three terms as North Dakota’s At-Large Member of the United States House of Representatives. He is the first Republican to hold this Senate seat in his lifetime. He serves on the Armed Services, Environment and Public Works, Veterans Affairs, and Banking, Housing and Urban Affairs Committees.
While a member of the House, Cramer made constituent outreach a top priority, describing interacting with the public as “the best part of public service.” According to Legistorm, the Capitol Hill government issues website, Cramer held more town halls than any other Member during several of his years in the House.
Cramer has had a distinguished career in public service. In 2003, then-Governor John Hoeven appointed Cramer to the Public Service Commission, and in 2004 he was elected to the position. As a North Dakota Public Service Commissioner, Cramer helped oversee the most dynamic economy in the nation. He worked to ensure North Dakotans enjoy some of the lowest utility rates in the United States, enhancing their competitive position in the global marketplace. An energy policy expert, Cramer understands America’s energy security is integral to national and economic security.
A strong advocate for the free market system, Cramer has a proven record of cutting and balancing budgets encouraging the private sector through limited, common sense regulations and limited government.
Cramer has a Bachelor of Arts degree from Concordia College in Moorhead, Minnesota, a Master’s degree in Management from the University of Mary in Bismarck, North Dakota, and was conferred the degree of Doctor of Leadership, honoris causa, by the University of Mary on May 4, 2013.
He is a native of Kindred, North Dakota, where he received his primary and secondary education. Kevin and his wife, Kris, have two adult sons, Isaac, who passed away in early 2018, and Ian; two adult daughters, Rachel and Annie; a teenage son, Abel; three granddaughters, Lyla, Willa, and Eve; and three grandsons, Beau, Nico, and Chet.
Senior Counsel, Senior Vice President of Corporate Engagement, Alliance Defending Freedom
Jeremy Tedesco serves as senior counsel and senior vice president of corporate engagement for Alliance Defending Freedom. In this role, Tedesco leads ADF’s efforts to combat corporate cancel culture and build a business ethic that respects free speech, religious freedom, and human dignity.
Immediately preceding his current role, Tedesco served as senior vice president for communications, during which time he was a lead convener of the Philadelphia Statement, a movement dedicated to restoring free speech and civil discourse. Tedesco also launched a regular video series called Freedom Matters, profiling ADF clients, cases, and issues. The program included 24 videos in its first year, which more than 31 million people viewed.
Previously, Tedesco litigated First Amendment cases at the highest levels. He was part of the legal team that represented cake artist Jack Phillips in Masterpiece Cakeshop v. Colorado Civil Rights Commission before the U.S. Supreme Court and argued Phillips’ case at the Colorado Court of Appeals. He was also the lead brief writer in two other U.S. Supreme Court wins, Reed v. Town of Gilbert and Arizona Christian School Tuition Organization v. Winn. Tedesco has also argued six times before five different federal appellate courts and founded and directed the ADF Center for Conscience Initiatives, where he led efforts to protect individuals from government-coerced speech.
Numerous media outlets, including The Wall Street Journal, Fox News, CNN, The New York Times, USA Today, PBS, NPR, and National Review, have interviewed Tedesco or published his comments.
Tedesco earned his Juris Doctor in 2004 from the Regent University School of Law.
Chief Legal Officer, IEX Group, Inc.
Rachel Barnett oversees all legal and compliance matters for IEX Group, Inc. She is an experienced lawyer who has held a wide variety of roles as in-house General Counsel and within private practice.
Rachel joined IEX from Brooks Brothers where she served as General Counsel and Secretary overseeing its global legal affairs. She played a critical role selling America's oldest retail brand after it had filed for bankruptcy during the COVID pandemic. Before Brooks Brothers in 2019, Rachel was a member of the Board of Directors and General Counsel of Travelzoo, a publicly traded global media company and online marketplace for travel deals and experiences.
Prior to going in-house, Rachel worked as an attorney at Skadden, Arps, Slate, Meagher and Flom, LLP where she specialized in litigation matters, including merger and acquisition litigation, shareholder derivative lawsuits and securities fraud class actions at both the trial court and appellate levels.
Rachel is a current Lecturer in Law at Columbia Law School where she also earned her Juris Doctor degree. She is member of the bar in both New York and Delaware and received a Bachelor of Science degree from Cornell University.
Agnes Williams Sesquicentennial Professor of Financial Technology, Georgetown Law
Chris Brummer is the Agnes Williams Sesquicentennial Professor of Financial Technology at Georgetown University Law Center and the Faculty Director of Georgetown’s Institute of International Economic Law. As a professor, advisor, board member and advocate, Chris has lent his expertise to policymakers, founders, startups, and nonprofits around the world grappling with some of the most challenging puzzles facing innovation, regulation, and inclusion. His work has been featured in The New York Times, CNN, Marketwatch, Fast Company, The Wall Street Journal, Bloomberg, Yahoo Money, Roll Call, Cointelegraph, and Coin Desk, among others.
Chris’s public service and volunteer work extend across government. In addition to serving as a member of the Commodity Futures Trading Commission’s Subcommittee on Virtual Currencies and the Consultative Working Group for the European Securities and Markets Authority’s Financial Innovation Standing Committee, Chris has served as a member of the National Adjudicatory Council of FINRA. Most recently, he served as a member of the Biden-Harris Transition team, assisting in leading work streams relating to financial technology, racial equity and systemic risk for the Treasury ART. He is currently the Co-Chair of CNAS Task Force on FinTech, Crypto, and National Security.
A frequent speaker and lecturer, Chris was asked to deliver the keynote speech for the SEC’s Black History celebration in 2021, FinCEN’s Black History celebration in 2022, and the Office of the Comptroller of the Currency’s celebration in 2023.
Chris graduated summa cum laude from Washington University in St. Louis, holds a J.D. with honors from Columbia Law School and a Ph.D. from the University of Chicago. He is the author or editor of several books, including Cryptoassets: Legal, Regulatory and Monetary Perspectives and Fintech Law in a Nutshell.
Chris is the host of CQ Roll Call’s Fintech Beat podcast, and founder of Washington DC’s Fintech Week, an annual free event for the public.
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, WilmerHale
William McLucas joined the firm after serving for more than eight years as Director of Enforcement for the Securities and Exchange Commission—longer than any other Enforcement Division Director in Commission history. He represents public companies, investment banks, accounting firms and advisors to mutual funds facing a variety of corporate and market crises, as well as Securities and Exchange Commission investigations.
In 1977, Mr. McLucas joined the Securities and Exchange Commission's Division of Enforcement. He led the Division's Staff in numerous high-profile investigations and landmark enforcement actions, including hundreds of insider trading cases and numerous inquiries and proceedings involving public companies, accounting firms, investment banks, and participants in the municipal securities markets.
In addition, Mr. McLucas has overseen numerous audit committee and special committee inquiries, and has also represented numerous corporate executives and directors in connection with Securities and Exchange Commission investigations.
Associate, Gibson, Dunn & Crutcher
Brian A. Richman is an associate in the Washington, D.C. office of Gibson, Dunn & Crutcher. He practices in the firm’s Litigation Department, and is a member of the Appellate and Constitutional Law and Administrative Law and Regulatory practice groups.
Mr. Richman represents clients in high-stakes appellate, administrative law, and litigation matters. His practice includes litigating cutting-edge constitutional and administrative law issues, challenging agency rulemakings, and defending against government enforcement actions, along with other complex litigation matters. He has extensive experience in the financial services sector.
Before joining the firm, Mr. Richman clerked for Judge Stephen F. Williams of the U.S. Court of Appeals for the District of Columbia Circuit. He also practiced at a New York law firm, where he focused on commercial litigation and white collar defense and investigations. Mr. Richman is a former securities compliance officer at Goldman Sachs, and has handled numerous regulatory matters involving the SEC, CFTC, FERC, FINRA, and the Federal Reserve.
Mr. Richman received his JD from Yale Law School, where he was a lead editor on the Yale Journal on Regulation, and a semi-finalist in both the Morris Tyler Moot Court of Appeals and Thomas Swan Barristers’ Union Mock Trial Competition. In 2011, Mr. Richman graduated from Cornell University with a B.S., with honors, in Policy Analysis and Management.
Mr. Richman is admitted to practice in New York and the District of Columbia. He is also admitted to the United States Courts of Appeals for the Second and D.C. Circuits, and the U.S. District Courts for the Southern and Eastern Districts of New York.
Chief Legal Officer, IEX Group, Inc.
Rachel Barnett oversees all legal and compliance matters for IEX Group, Inc. She is an experienced lawyer who has held a wide variety of roles as in-house General Counsel and within private practice.
Rachel joined IEX from Brooks Brothers where she served as General Counsel and Secretary overseeing its global legal affairs. She played a critical role selling America's oldest retail brand after it had filed for bankruptcy during the COVID pandemic. Before Brooks Brothers in 2019, Rachel was a member of the Board of Directors and General Counsel of Travelzoo, a publicly traded global media company and online marketplace for travel deals and experiences.
Prior to going in-house, Rachel worked as an attorney at Skadden, Arps, Slate, Meagher and Flom, LLP where she specialized in litigation matters, including merger and acquisition litigation, shareholder derivative lawsuits and securities fraud class actions at both the trial court and appellate levels.
Rachel is a current Lecturer in Law at Columbia Law School where she also earned her Juris Doctor degree. She is member of the bar in both New York and Delaware and received a Bachelor of Science degree from Cornell University.
Agnes Williams Sesquicentennial Professor of Financial Technology, Georgetown Law
Chris Brummer is the Agnes Williams Sesquicentennial Professor of Financial Technology at Georgetown University Law Center and the Faculty Director of Georgetown’s Institute of International Economic Law. As a professor, advisor, board member and advocate, Chris has lent his expertise to policymakers, founders, startups, and nonprofits around the world grappling with some of the most challenging puzzles facing innovation, regulation, and inclusion. His work has been featured in The New York Times, CNN, Marketwatch, Fast Company, The Wall Street Journal, Bloomberg, Yahoo Money, Roll Call, Cointelegraph, and Coin Desk, among others.
Chris’s public service and volunteer work extend across government. In addition to serving as a member of the Commodity Futures Trading Commission’s Subcommittee on Virtual Currencies and the Consultative Working Group for the European Securities and Markets Authority’s Financial Innovation Standing Committee, Chris has served as a member of the National Adjudicatory Council of FINRA. Most recently, he served as a member of the Biden-Harris Transition team, assisting in leading work streams relating to financial technology, racial equity and systemic risk for the Treasury ART. He is currently the Co-Chair of CNAS Task Force on FinTech, Crypto, and National Security.
A frequent speaker and lecturer, Chris was asked to deliver the keynote speech for the SEC’s Black History celebration in 2021, FinCEN’s Black History celebration in 2022, and the Office of the Comptroller of the Currency’s celebration in 2023.
Chris graduated summa cum laude from Washington University in St. Louis, holds a J.D. with honors from Columbia Law School and a Ph.D. from the University of Chicago. He is the author or editor of several books, including Cryptoassets: Legal, Regulatory and Monetary Perspectives and Fintech Law in a Nutshell.
Chris is the host of CQ Roll Call’s Fintech Beat podcast, and founder of Washington DC’s Fintech Week, an annual free event for the public.
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, WilmerHale
William McLucas joined the firm after serving for more than eight years as Director of Enforcement for the Securities and Exchange Commission—longer than any other Enforcement Division Director in Commission history. He represents public companies, investment banks, accounting firms and advisors to mutual funds facing a variety of corporate and market crises, as well as Securities and Exchange Commission investigations.
In 1977, Mr. McLucas joined the Securities and Exchange Commission's Division of Enforcement. He led the Division's Staff in numerous high-profile investigations and landmark enforcement actions, including hundreds of insider trading cases and numerous inquiries and proceedings involving public companies, accounting firms, investment banks, and participants in the municipal securities markets.
In addition, Mr. McLucas has overseen numerous audit committee and special committee inquiries, and has also represented numerous corporate executives and directors in connection with Securities and Exchange Commission investigations.
Associate, Gibson, Dunn & Crutcher
Brian A. Richman is an associate in the Washington, D.C. office of Gibson, Dunn & Crutcher. He practices in the firm’s Litigation Department, and is a member of the Appellate and Constitutional Law and Administrative Law and Regulatory practice groups.
Mr. Richman represents clients in high-stakes appellate, administrative law, and litigation matters. His practice includes litigating cutting-edge constitutional and administrative law issues, challenging agency rulemakings, and defending against government enforcement actions, along with other complex litigation matters. He has extensive experience in the financial services sector.
Before joining the firm, Mr. Richman clerked for Judge Stephen F. Williams of the U.S. Court of Appeals for the District of Columbia Circuit. He also practiced at a New York law firm, where he focused on commercial litigation and white collar defense and investigations. Mr. Richman is a former securities compliance officer at Goldman Sachs, and has handled numerous regulatory matters involving the SEC, CFTC, FERC, FINRA, and the Federal Reserve.
Mr. Richman received his JD from Yale Law School, where he was a lead editor on the Yale Journal on Regulation, and a semi-finalist in both the Morris Tyler Moot Court of Appeals and Thomas Swan Barristers’ Union Mock Trial Competition. In 2011, Mr. Richman graduated from Cornell University with a B.S., with honors, in Policy Analysis and Management.
Mr. Richman is admitted to practice in New York and the District of Columbia. He is also admitted to the United States Courts of Appeals for the Second and D.C. Circuits, and the U.S. District Courts for the Southern and Eastern Districts of New York.
Partner, Hunton Andrews Kurth LLP
Michael J. Edney is head of the white collar criminal defense practice at Hunton Andrews Kurth LLP and partner in its Washington office. He guides clients through all aspects of government regulation, criminal and regulatory investigations, and civil litigation.
Mr. Edney vigorously defends corporations and individuals facing government agency inquiries and prosecutorial threats. Mr. Edney has represented clients before the Department of Justice, the Department of the Treasury and its Office of Foreign Assets Control (OFAC), the Department of State, the Department of Commerce, the Department of Defense, the Department of Health and Human Services, the Securities and Exchange Commission (SEC), the Commodities Futures Trading Commission (CFTC), the National Security Agency (NSA), congressional committees, and other government entities. In 2014, for example, Mr. Edney successfully negotiated a resolution of what was then the largest non-bank trade sanctions investigation in United States history, along with a resolution of charges under the Foreign Corrupt Practices Act (FCPA).
When companies encounter allegations of wrongdoing, Mr. Edney has conducted many internal investigations on their behalf, while carefully avoiding disruption of the client's important business operations. He has worked extensively with the Audit Committees and senior management of public companies to determine how to comprehensively resolve suggestions of misconduct.
General Counsel and Chief Compliance Officer, Aristotle International
The Honorable David M. Mason is General Counsel and Chief Compliance Officer at Aristotle. He assists campaigns, PACs, and political parties in maximizing their effectiveness while complying with federal and state regulatory requirements.
Mr. Mason served as Commissioner and Chairman (2002 and 2008) of the Federal Election Commission from 1998 until 2008, a presidentially appointed, Senate-confirmed position.
President Reagan appointed Mason as Deputy Assistant Secretary of Defense (Legislative Affairs) where he was instrumental in working with Defense Secretary Frank Carlucci and Representative Dick Armey in securing passage of base closing legislation.
Commissioner Mason has testified before Congress over 20 times, addressed international conferences on elections and appeared in or wrote for scores of American print and broadcast media outlets. He is an honors graduate of Claremont McKenna College in Government, graduated with highest honors from Concord Law School and is a member of the California Bar.
Deputy General Counsel, Public Company Accounting Oversight Board
Connor Raso serves as acting deputy general counsel at the Public Company Accounting Oversight Board. He is a contributor to the Brookings' Series on Regulatory Process and Perspective as part of the Brookings Center on Regulation and Markets.
From 2014-2022 Mr. Raso Served as Special Senior Counsel at the U.S. Securities and Exchange Commission.
Senior Litigation Counsel, New Civil Liberties Alliance
Russell G. Ryan, a former assistant director of enforcement at the SEC, is now Senior Litigation Counsel at the New Civil Liberties Alliance.
A Seat at the Sitting - January 2025
Jennifer B. Dickey, Michael R. Dimino, Shannon Grammel Denmark, Brett Nolan, Gregory Y. Porter, Vikrant P. Reddy, Bryan Weir
The January Docket in 90 Minutes or Less
Each month, a panel of constitutional experts convenes to discuss the Court’s upcoming docket sitting...
A Seat at the Sitting - January 2025
Jennifer B. Dickey, Michael R. Dimino, Shannon Grammel Denmark, Brett Nolan, Gregory Y. Porter, Vikrant P. Reddy, Bryan Weir
The January Docket in 90 Minutes or Less
Each month, a panel of constitutional experts convenes to discuss the Court’s upcoming docket sitting...
Litigation Update: Alliance for Fair Board Recruitment v. SEC
Jonathan Berry
On December 11, 2024, in Alliance for Fair Board Recruitment v. SEC, the Fifth Circuit...
Topics
The Fed’s Remarkable ‘Independence’ Claim
This post originally appeared in The Daily Economy. In the course of human events, the...
Debanking: The Newest Threat to Free Speech and Religious Liberty?
Brenna Bird, J. C. Boggs, Sam Brownback, Peter Conti-Brown, Kevin Cramer, Jeremy Tedesco
In June 2023, the Coutts bank closed the account of British politician Nigel Farage. While...
Debanking: The Newest Threat to Free Speech and Religious Liberty?
Brenna Bird, J. C. Boggs, Sam Brownback, Peter Conti-Brown, Kevin Cramer, Jeremy Tedesco
In June 2023, the Coutts bank closed the account of British politician Nigel Farage. While...
The SEC and Cryptocurrency
Rachel Barnett, Chris Brummer, Patrick Daugherty, William McLucas, Brian Richman
This event will survey the SEC's current involvement in the cryptocurrency field. The conversation will...
The SEC and Cryptocurrency
Rachel Barnett, Chris Brummer, Patrick Daugherty, William McLucas, Brian Richman
This event will survey the SEC's current involvement in the cryptocurrency field. The conversation will...
Topics
Preventing Fraud on P2P Electronic Payment Networks: What Can We Learn From Montesquieu?
As a former staff member for the U.S. House Committee on Financial Services, I spent...
Discussing Clarke v. CFTC: The Case of PredictIt & the CFTC's No-Action Letter
Michael J. Edney, David M. Mason, Connor Raso, Russell G. Ryan
In July of 2023, the Fifth Circuit reversed the district court's decision in Clarke v....