Counsel, International Trade; National Security; CFIUS, Skadden, Arps, Slate, Meagher & Flom LLP
Dan Gerkin advises on issues involving the transnational flow of goods, software, technology and services, as well as investments in the United States and abroad.
Specifically, Mr. Gerkin counsels a variety of U.S., international and multinational clients in matters concerning U.S. export controls, economic embargoes and sanctions, investment security reviews, customs, and trade remedies and other trade-related investigations, often in connection with mergers and acquisitions and other business transactions.
Mr. Gerkin represents clients regarding compliance with the Export Administration Regulations (EAR), including anti-boycott compliance, the International Traffic in Arms Regulations (ITAR), the embargoes and sanctions programs administered by the Office of Foreign Assets Control, and sanctions-related legislation. Additionally, he assists clients with commodity classification requests, commodity jurisdiction requests, advisory opinion requests, applications for licenses and other export authorizations, voluntary prior disclosures and responses to administrative subpoenas, and has created comprehensive export compliance policies and procedures manuals.
Mr. Gerkin has counseled clients in connection with matters implicating the Committee on Foreign Investment in the United States (CFIUS) and has successfully led a number of clients through the CFIUS clearance process. His experience includes transactions in the energy, telecommunications, financial services and industrial sectors, among others.
Additionally, Mr. Gerkin represents U.S. importers before U.S. Customs and Border Protection (CBP) and the U.S. Court of International Trade in connection with a wide variety of customs matters, including tariff classification, import valuation, country of origin, country of origin marking, preferential programs and free trade agreements, drawback, reconciliation, temporary importations under bond, Foreign Trade Zones, and textile quota and visa requirements. He also represents foreign manufacturers and exporters and U.S. importers in traditional and nonmarket anti-dumping and countervailing duty proceedings, as well as in Section 201, 232 and 301 proceedings.
Professor and Co-Director of the Herbert Smith Freehills China International Business and Economic Law (CIBEL) Centre, UNSW Law
Prof. Heng Wang is a professor and co-director of UNSW Law's Herbert Smith Freehills China International Business and Economic Law (CIBEL) Centre, the largest centre in this field outside China. He is also a co-director of Tsinghua-UNSW Joint Research Centre for International Commercial and Economic Law (JCICEL). Previously, as a professor at Southwest University of Political Science and Law (SWUPL), China, he headed a WTO law center (established by the Department of Treaty and Law, the Ministry of Commerce and SWUPL) and has been the recipient of top research awards and several major grants, including the triennial China Outstanding Law Research Award, twice, (China Law Society) and the Outstanding Research Award in Humanities and Social Science (the Ministry of Education). He was a visiting professorial fellow at UNSW Law (2012-2015). Heng’s research interest focuses on the frontline of China’s international economic law practice (e.g. the Belt and Road Initiative, China-US economic relationship, free trade agreements, possible central bank digital currency), its rationale and implications. His recent papers study US-China trade war, and China’s approach to the Belt and Road Initiative.
Heng has spoken at the WTO Headquarters and over 50 universities in America, Europe, Asia, and Africa, including Harvard University, Oxford University, Columbia University, New York University, University of Pennsylvania, University of Virginia, the LSE, University of Paris 1 and Waseda University. He was a Fernand Braudel Senior Fellow and a Max Weber Fellow at European University Institute. As a visiting professor, he taught at UNSW, University of Ottawa, Case Western Reserve University, Yokohama National University, Xiamen University, and China University of Political Science and Law. In 2019, he taught courses at National University of Singapore and Chinese University of Hong Kong (Shenzhen). Besides being a visiting professor at Sant'Anna School of Advanced Studies and the University of Cagliari, he conducted research at the WTO Secretariat and was the university professorial fellow at SWUPL.
Besides books, he published widely within and outside of China in journals including Journal of International Economic Law, Journal of World Trade, Cornell International Law Journal, Columbia Journal of Asian Law, and Tsinghua China Law Review. Heng was an Executive Council member of the Society of International Economic Law (2008-2015) and is a founding member of the Asian International Economic Law Network, a member of the Asian WTO Research Network, and an executive member of governing council of all three Chinese societies of international economic law or WTO law.
Heng has advised or provided training to the government, international organization (the APEC), and the private sector, and is an arbitrator of arbitration institutions in China and Europe.
He has been often interviewed by media in Australia, China, the US and elsewhere, including by the BBC, Reuters, the Australian Broadcasting Corporation, the South China Morning Post, SBS, Australia Financial Review, and the Australian.
Senior Analyst, Futurum Research
Olivier Blanchard has extensive experience managing product innovation, technology adoption, digital integration, and change management for industry leaders in the B2B, B2C, B2G sectors, and the IT channel. His passion is helping decision-makers and their organizations understand the many risks and opportunities of technology-driven disruption, and leverage innovation to build stronger, better, more competitive companies. A trusted source of analysis and insights on digital business and digital innovation, Olivier also travels the globe speaking about business technology, Disruption as a Model (DaaM), and the impact of innovation on markets and culture. He is also the best-selling author of Social Media RIO: Managing and Measuring Social Media Efforts in Your Organization, and co-author of Building Dragons: Digital Transformation in the Experience Economy. Blanchard is based in Greenville, South Carolina.
President and Founder, International Center for Law & Economics
Geoffrey A. Manne is the president and founder of the International Center for Law and Economics (ICLE), a nonprofit, nonpartisan research center based in Portland, Oregon. He is also a distinguished fellow at Northwestern Law School’s Searle Center on Law, Regulation, & Economic Growth. In April 2017 he was appointed by FCC Chairman Ajit Pai to the FCC’s Broadband Deployment Advisory Committee, and he recently served for two years on the FCC’s Consumer Advisory Committee.
Mr. Manne earned his JD and AB degrees from the University of Chicago and is an expert in the economic analysis of law, specializing in competition, telecommunications, consumer protection, intellectual property, and technology policy.
Prior to founding ICLE, Manne was a law professor at Lewis & Clark Law School. From 2006-2009, he took a leave from teaching to develop Microsoft’s law and economics academic outreach program. Manne has also served as a lecturer in law at the University of Chicago Law School and the University of Virginia School of Law. He practiced antitrust law and appellate litigation at Latham & Watkins, clerked for Hon. Morris S. Arnold on the 8th Circuit Court of Appeals, and worked as a research assistant for Judge Richard Posner. He was also once (very briefly) employed by the FTC.
Mr. Manne’s publications have appeared in numerous journals including the Journal of Competition Law and Economics, the Harvard Journal of Law and Technology, the Supreme Court Economic Review, and the Arizona Law Review, among others. With former FTC Commissioner, Joshua Wright, Manne is the editor of a volume from Cambridge University Press entitled, Competition Policy and Intellectual Property Law Under Uncertainty: Regulating Innovation. Manne has also testified on several occasions before Congress and at the FCC and FTC, and he regularly files written comments and amicus briefs on key antitrust, IP, and telecommunications issues. His analysis is frequently published in popular print and broadcasting outlets such as the Wall Street Journal, Wired, Foreign Affairs, NPR, and Bloomberg, among others.
Manne is a member of the American Law and Economics Association, the Canadian Law and Economics Association, and the Society for Institutional & Organizational Economics. He blogs at Truth on the Market (www.truthonthemarket.com) (of which he is also the co-founder), is a contributor at WIRED, and tweets at @geoffmanne. His scholarly publications are available at http://ssrn.com/author=175541.
Former EVP and GC, CSRA Inc; former EVP and GC, SIGA Technologies; former Chief Corporate Counsel, Chevron Corporation; former GC of the Dept of Defense
Jim Haynes is a corporate executive advising early-stage companies in emerging technologies.
Mr. Haynes has served at the highest levels in the private sector (as executive vice president and chief legal officer of two publicly traded corporations) and the public sector (with senateconfirmed appointments by two United States presidents.) Most recently, Mr. Haynes was executive vice president, general counsel and secretary of CSRA Inc., a next generation information technologies solutions and services company, until CSRA was acquired by General Dynamics Corporation for $9.7 billion.
Earlier in his career, Mr. Haynes was executive vice president and general counsel of SIGA Technologies, Inc. (biotechnology); chief corporate counsel of Chevron Corporation (energy); and staff vice president and associate general counsel of General Dynamics Corporation (government contractor).
Mr. Haynes is the longest serving General Counsel of the Department of Defense (2001-2008), holding that office under Secretaries Donald H. Rumsfeld and Robert M. Gates during the administration of President George W. Bush. From 1990-1993, Mr. Haynes served as General Counsel of the Department of the Army during the administration of President George H. W. Bush.
Mr. Haynes was twice a partner in Jenner & Block, a national law firm. Mr. Haynes also was a volunteer in central Asia for Mercy Corps International, helping manage a micro-credit program.
After graduating from Davidson College and Harvard Law School, Mr. Haynes clerked for Judge James B. McMillan in Charlotte, North Carolina. Mr. Haynes then served four years active duty as a captain in the U. S. Army.
Mr. Haynes has earned numerous honors and awards, including various medals from the Department of Defense; the Departments of the Army, Navy, and Air Force; and the Department of Justice. Mr. Haynes holds an honorary Doctor of Laws from Stetson University Law School. Mr. Haynes is a member of the advisory committee of the National Security Institute of the Antonin Scalia Law School at George Mason University; a member of the advisory council of the United States Court of Federal Claims; a trustee of the Supreme Court Historical Society; and a trustee of the Greater New York Councils of the Boy Scouts of America.
Partner, Sullivan & Cromwell LLP
Eric Kadel is engaged in a wide variety of corporate, transactional and regulatory matters. He is a member of the Firm’s Corporate and Finance, Financial Services, Investment Management, Alternative Investment Management, Cybersecurity, and Commodities, Futures and Derivatives Groups. With regard to financings, Mr. Kadel regularly represents participants in capital markets transactions, and dealers and end users in connection with structuring and documenting a wide variety of swaps and other derivatives, including equity, credit default and commodity swaps, options and forwards. Mr. Kadel’s work in the investment management area includes advising public and private investment companies and investment advisers on a wide variety of transactional, regulatory, compliance and other matters, including registration and regulation. Mr. Kadel also advises clients of the Firm regarding developments in the laws regulating the financial services industry and on cybersecurity issues. Mr. Kadel is currently an adjunct professor at George Washington University Law School.
In addition, Mr. Kadel is one of the principal partners in the Firm’s International Trade and Investment practice. He counsels and represents clients on questions about U.S. economic sanctions, including those administered by the Treasury Department’s Office of Foreign Assets Control (“OFAC”), United States antiboycott requirements under the Export Administration Regulations administered and enforced by the Commerce Department’s Office of Antiboycott Compliance within the Bureau of Industry and Security, Bank Secrecy Act/anti‐money laundering laws and the U.S. Foreign Corrupt Practices Act (“FCPA”). Mr. Kadel’s practice includes analysis of proposed transactions and business relationships; due diligence and design and review of compliance procedures and strategies; and internal investigations, voluntary disclosures and government enforcement actions. Mr. Kadel also regularly advises clients regarding questions arising under Exon-Florio and the transaction review process administered by the Committee on Foreign Investment in the United States (“CFIUS”), and has represented clients before CFIUS on many national security reviews.
Partner, Mayer Brown
Prof. Tim Keeler, an attorney in the Government and International Trade Group, joined Mayer Brown in 2009, and brings an in-depth knowledge of international trade law and economic policy matters, and a history of working in the Executive Branch and Congress on major economic, legislative and regulatory issues.
Prior to joining Mayer Brown, Professor Keeler served in a variety of senior positions in the U.S. Government for almost 12 years. Most recently he was the Chief of Staff in the Office of the U.S. Trade Representative (USTR) from 2006 - 2009, where he oversaw implementation of U.S. policy, strategy and negotiations involving all aspects of international trade and investment matters. He worked on a number of key issues including: climate change and trade; US and China relations; WTO negotiations and litigation; free trade agreement negotiations and implementation; and CFIUS decisions.
Before working for USTR, Prof. Keeler spent more than five years at the Treasury Department from 2001 – 2006. He joined the Office of Legislative Affairs in 2001 as a Deputy to the Assistant Secretary for International Issues, where he was responsible for Treasury’s legislative strategy on issues including capital market sanctions, foreign exchange rate policy testimony, appropriations for U.S. agreements to replenish the World Bank and other Multilateral Development Banks, multilateral debt relief, and U.S. participation in the International Monetary Fund. He later managed the Office of Legislative Affairs from 2002 - 2006 and assisted on all policy and personnel issues in the Office. This included leading Treasury nominees through the U.S. Senate confirmation process, legislative strategy on Treasury Intelligence and Terrorist Financing matters, and advising on major economic legislative initiatives such as the 2003 tax cuts and social security reform proposals.
Prof. Keeler also served on the Presidential Transition Team in 2000–2001 as a policy coordinator on export control and trade remedy policy, handling the Commerce Department’s Bureau of Export Administration (now called the Bureau of Industry and Security) and the International Trade Commission (ITC).
Earlier in his career, Prof. Keeler served as a professional staff member for international trade on the US Senate Finance Committee under Chairman William V. Roth (R-DE). There he worked on legislation establishing permanent normal trade relations (PNTR) between the U.S. and China, preferential trade programs for Sub-Saharan Africa (the African Growth and Opportunity Act) and the Caribbean basin, the Generalized System of Preferences, legislation to bring the U.S. into compliance with the WTO decision on the Foreign Sales Corporation provisions of the Internal Revenue Code, and the miscellaneous tariff bill.
In recognition of his government service, Prof. Keeler was awarded the USTR Distinguished Service Award, the Treasury Distinguished Service Award, and the Treasury Secretary’s Honor Award twice.
Prof. Keeler is also an adjunct professor at the Georgetown University School of Law, co-teaching a course on U.S. and WTO law, policy, and politics; is a member of the Board of Directors of the Washington International Trade Foundation; and is a term member of the Council on Foreign Relations. Prof. Keeler has spoken at conferences on international trade and economic issues sponsored by, inter alia, the American Bar Association (Climate Change and Trade, March 2009), the Korea Economic Institute (the U.S. – Korea Free Trade Agreement, October 2010), and the U.S.-China Business Council (Sec. 421 tires safeguard case, July 2009; and the U.S. – China Economic and Political Relationship, January 2010).
Co-Chair, NYU Center for Cybersecurity; Distinguished Fellow, Center on Law and Security; Professor of Practice, New York University School of Law
Randal Milch is the Co-Chair of the NYU Center for Cybersecurity, a Distinguished Fellow at the Center on Law and Security, and a Professor of Practice at NYU School of Law. He was most recently executive vice president and strategic policy adviser to Verizon’s chairman and CEO. He served as the company’s general counsel from 2008 to 2014, and before that was general counsel of several business divisions within Verizon. At Verizon, Milch chaired the Verizon Executive Security Council, which was responsible for information security across all Verizon entities. Milch was responsible for national security matters at Verizon beginning in 2006, and has served as the senior cleared executive at Verizon. Earlier in his career, Milch was a partner in the Washington, DC office of Donovan Leisure Newton & Irvine. Milch holds a JD from New York University School of Law and a BA from Yale University.
Executive Vice President, General Counsel, and Corporate Secretary, Qualcomm
Donald J. Rosenberg is executive vice president, general counsel and corporate secretary of Qualcomm Incorporated. Mr. Rosenberg reports directly to CEO Steve Mollenkopf and is a member of the company's Executive Committee. In his role as chief legal officer, he is responsible for overseeing Qualcomm's worldwide legal affairs including litigation, intellectual property and corporate matters. Qualcomm's Government Affairs, Internal Audit and Compliance organizations also report to him.
Prior to joining Qualcomm, Mr. Rosenberg served as senior vice president, general counsel and corporate secretary of Apple Inc. Prior to that, he was senior vice president and general counsel of IBM Corporation where he had also held numerous positions including vice president and assistant general counsel for litigation and counsel to IBM's mainframe division.
Mr. Rosenberg has had extensive experience in corporate governance, compliance, law department management, litigation, securities regulation, intellectual property and competition issues.
Mr. Rosenberg is a board member of NuVasive, Inc., Corporate Directors Forum, CONNECT, La Jolla Music Society, La Jolla Playhouse and a trustee of Rady Children's Hospital San Diego and the Sanford Burnham Prebys Medical Discovery Institute. He is immediate past National Co-Chairman of the Board of the Lawyers' Committee for Civil Rights Under Law, where he continues to serve on the Board and the Executive Committee.
Mr. Rosenberg is a member of the International Advisory Board, University of California San Diego (UCSD) School of Global Policy and Strategy. He is also a member of the China Leadership Board for the 21st Century China Center at the UCSD. He has served as an adjunct professor of law at New York's Pace University School of Law, where he taught courses in intellectual property and antitrust law.
Mr. Rosenberg received a Bachelor of Science degree in mathematics from the State University of New York at Stony Brook and his juris doctor from St. John's University School of Law.
Former EVP and GC, CSRA Inc; former EVP and GC, SIGA Technologies; former Chief Corporate Counsel, Chevron Corporation; former GC of the Dept of Defense
Jim Haynes is a corporate executive advising early-stage companies in emerging technologies.
Mr. Haynes has served at the highest levels in the private sector (as executive vice president and chief legal officer of two publicly traded corporations) and the public sector (with senateconfirmed appointments by two United States presidents.) Most recently, Mr. Haynes was executive vice president, general counsel and secretary of CSRA Inc., a next generation information technologies solutions and services company, until CSRA was acquired by General Dynamics Corporation for $9.7 billion.
Earlier in his career, Mr. Haynes was executive vice president and general counsel of SIGA Technologies, Inc. (biotechnology); chief corporate counsel of Chevron Corporation (energy); and staff vice president and associate general counsel of General Dynamics Corporation (government contractor).
Mr. Haynes is the longest serving General Counsel of the Department of Defense (2001-2008), holding that office under Secretaries Donald H. Rumsfeld and Robert M. Gates during the administration of President George W. Bush. From 1990-1993, Mr. Haynes served as General Counsel of the Department of the Army during the administration of President George H. W. Bush.
Mr. Haynes was twice a partner in Jenner & Block, a national law firm. Mr. Haynes also was a volunteer in central Asia for Mercy Corps International, helping manage a micro-credit program.
After graduating from Davidson College and Harvard Law School, Mr. Haynes clerked for Judge James B. McMillan in Charlotte, North Carolina. Mr. Haynes then served four years active duty as a captain in the U. S. Army.
Mr. Haynes has earned numerous honors and awards, including various medals from the Department of Defense; the Departments of the Army, Navy, and Air Force; and the Department of Justice. Mr. Haynes holds an honorary Doctor of Laws from Stetson University Law School. Mr. Haynes is a member of the advisory committee of the National Security Institute of the Antonin Scalia Law School at George Mason University; a member of the advisory council of the United States Court of Federal Claims; a trustee of the Supreme Court Historical Society; and a trustee of the Greater New York Councils of the Boy Scouts of America.
Partner, Sullivan & Cromwell LLP
Eric Kadel is engaged in a wide variety of corporate, transactional and regulatory matters. He is a member of the Firm’s Corporate and Finance, Financial Services, Investment Management, Alternative Investment Management, Cybersecurity, and Commodities, Futures and Derivatives Groups. With regard to financings, Mr. Kadel regularly represents participants in capital markets transactions, and dealers and end users in connection with structuring and documenting a wide variety of swaps and other derivatives, including equity, credit default and commodity swaps, options and forwards. Mr. Kadel’s work in the investment management area includes advising public and private investment companies and investment advisers on a wide variety of transactional, regulatory, compliance and other matters, including registration and regulation. Mr. Kadel also advises clients of the Firm regarding developments in the laws regulating the financial services industry and on cybersecurity issues. Mr. Kadel is currently an adjunct professor at George Washington University Law School.
In addition, Mr. Kadel is one of the principal partners in the Firm’s International Trade and Investment practice. He counsels and represents clients on questions about U.S. economic sanctions, including those administered by the Treasury Department’s Office of Foreign Assets Control (“OFAC”), United States antiboycott requirements under the Export Administration Regulations administered and enforced by the Commerce Department’s Office of Antiboycott Compliance within the Bureau of Industry and Security, Bank Secrecy Act/anti‐money laundering laws and the U.S. Foreign Corrupt Practices Act (“FCPA”). Mr. Kadel’s practice includes analysis of proposed transactions and business relationships; due diligence and design and review of compliance procedures and strategies; and internal investigations, voluntary disclosures and government enforcement actions. Mr. Kadel also regularly advises clients regarding questions arising under Exon-Florio and the transaction review process administered by the Committee on Foreign Investment in the United States (“CFIUS”), and has represented clients before CFIUS on many national security reviews.
Partner, Mayer Brown
Prof. Tim Keeler, an attorney in the Government and International Trade Group, joined Mayer Brown in 2009, and brings an in-depth knowledge of international trade law and economic policy matters, and a history of working in the Executive Branch and Congress on major economic, legislative and regulatory issues.
Prior to joining Mayer Brown, Professor Keeler served in a variety of senior positions in the U.S. Government for almost 12 years. Most recently he was the Chief of Staff in the Office of the U.S. Trade Representative (USTR) from 2006 - 2009, where he oversaw implementation of U.S. policy, strategy and negotiations involving all aspects of international trade and investment matters. He worked on a number of key issues including: climate change and trade; US and China relations; WTO negotiations and litigation; free trade agreement negotiations and implementation; and CFIUS decisions.
Before working for USTR, Prof. Keeler spent more than five years at the Treasury Department from 2001 – 2006. He joined the Office of Legislative Affairs in 2001 as a Deputy to the Assistant Secretary for International Issues, where he was responsible for Treasury’s legislative strategy on issues including capital market sanctions, foreign exchange rate policy testimony, appropriations for U.S. agreements to replenish the World Bank and other Multilateral Development Banks, multilateral debt relief, and U.S. participation in the International Monetary Fund. He later managed the Office of Legislative Affairs from 2002 - 2006 and assisted on all policy and personnel issues in the Office. This included leading Treasury nominees through the U.S. Senate confirmation process, legislative strategy on Treasury Intelligence and Terrorist Financing matters, and advising on major economic legislative initiatives such as the 2003 tax cuts and social security reform proposals.
Prof. Keeler also served on the Presidential Transition Team in 2000–2001 as a policy coordinator on export control and trade remedy policy, handling the Commerce Department’s Bureau of Export Administration (now called the Bureau of Industry and Security) and the International Trade Commission (ITC).
Earlier in his career, Prof. Keeler served as a professional staff member for international trade on the US Senate Finance Committee under Chairman William V. Roth (R-DE). There he worked on legislation establishing permanent normal trade relations (PNTR) between the U.S. and China, preferential trade programs for Sub-Saharan Africa (the African Growth and Opportunity Act) and the Caribbean basin, the Generalized System of Preferences, legislation to bring the U.S. into compliance with the WTO decision on the Foreign Sales Corporation provisions of the Internal Revenue Code, and the miscellaneous tariff bill.
In recognition of his government service, Prof. Keeler was awarded the USTR Distinguished Service Award, the Treasury Distinguished Service Award, and the Treasury Secretary’s Honor Award twice.
Prof. Keeler is also an adjunct professor at the Georgetown University School of Law, co-teaching a course on U.S. and WTO law, policy, and politics; is a member of the Board of Directors of the Washington International Trade Foundation; and is a term member of the Council on Foreign Relations. Prof. Keeler has spoken at conferences on international trade and economic issues sponsored by, inter alia, the American Bar Association (Climate Change and Trade, March 2009), the Korea Economic Institute (the U.S. – Korea Free Trade Agreement, October 2010), and the U.S.-China Business Council (Sec. 421 tires safeguard case, July 2009; and the U.S. – China Economic and Political Relationship, January 2010).
Co-Chair, NYU Center for Cybersecurity; Distinguished Fellow, Center on Law and Security; Professor of Practice, New York University School of Law
Randal Milch is the Co-Chair of the NYU Center for Cybersecurity, a Distinguished Fellow at the Center on Law and Security, and a Professor of Practice at NYU School of Law. He was most recently executive vice president and strategic policy adviser to Verizon’s chairman and CEO. He served as the company’s general counsel from 2008 to 2014, and before that was general counsel of several business divisions within Verizon. At Verizon, Milch chaired the Verizon Executive Security Council, which was responsible for information security across all Verizon entities. Milch was responsible for national security matters at Verizon beginning in 2006, and has served as the senior cleared executive at Verizon. Earlier in his career, Milch was a partner in the Washington, DC office of Donovan Leisure Newton & Irvine. Milch holds a JD from New York University School of Law and a BA from Yale University.
Executive Vice President, General Counsel, and Corporate Secretary, Qualcomm
Donald J. Rosenberg is executive vice president, general counsel and corporate secretary of Qualcomm Incorporated. Mr. Rosenberg reports directly to CEO Steve Mollenkopf and is a member of the company's Executive Committee. In his role as chief legal officer, he is responsible for overseeing Qualcomm's worldwide legal affairs including litigation, intellectual property and corporate matters. Qualcomm's Government Affairs, Internal Audit and Compliance organizations also report to him.
Prior to joining Qualcomm, Mr. Rosenberg served as senior vice president, general counsel and corporate secretary of Apple Inc. Prior to that, he was senior vice president and general counsel of IBM Corporation where he had also held numerous positions including vice president and assistant general counsel for litigation and counsel to IBM's mainframe division.
Mr. Rosenberg has had extensive experience in corporate governance, compliance, law department management, litigation, securities regulation, intellectual property and competition issues.
Mr. Rosenberg is a board member of NuVasive, Inc., Corporate Directors Forum, CONNECT, La Jolla Music Society, La Jolla Playhouse and a trustee of Rady Children's Hospital San Diego and the Sanford Burnham Prebys Medical Discovery Institute. He is immediate past National Co-Chairman of the Board of the Lawyers' Committee for Civil Rights Under Law, where he continues to serve on the Board and the Executive Committee.
Mr. Rosenberg is a member of the International Advisory Board, University of California San Diego (UCSD) School of Global Policy and Strategy. He is also a member of the China Leadership Board for the 21st Century China Center at the UCSD. He has served as an adjunct professor of law at New York's Pace University School of Law, where he taught courses in intellectual property and antitrust law.
Mr. Rosenberg received a Bachelor of Science degree in mathematics from the State University of New York at Stony Brook and his juris doctor from St. John's University School of Law.
Partner, Steptoe & Johnson LLP
Stewart Baker is a partner in the law firm of Steptoe & Johnson in Washington, D.C. From 2005 to 2009, he was the first Assistant Secretary for Policy at the Department of Homeland Security. His law practice covers cybersecurity, data protection, homeland security, and travel and foreign investment regulation; he has been awarded one patent.
Mr. Baker has been General Counsel of the National Security Agency and General Counsel of the commission that investigated WMD intelligence failures prior to the Iraq war. He is the author of Skating on Stilts, a book on terrorism, cybersecurity, and other technology issues; he also hosts the weekly Cyberlaw Podcast.
Attorney and Legal Commentator
John Shu is an attorney and legal commentator. His focus areas include constitutional law, securities & corporate law, antitrust law, administrative law, politics, and international affairs. Mr. Shu has lectured and published on a wide variety of issues.
Mr. Shu served President George H.W. Bush and President George W. Bush. He also served Judge Stanley Sporkin, U.S. District Court for the District of Columbia, who was Director of Enforcement at the U.S. Securities & Exchange Commission and General Counsel at the Central Intelligence Agency, and Judge Paul Roney, U.S. Court of Appeals for the Eleventh Circuit, who was Presiding Judge of the Foreign Intelligence Surveillance Court of Review.
Mr. Shu is a member of the National Committee on U.S. - China Relations, the Pacific Council on International Policy, and the Foreign Policy Association.
Counsel, International Trade; National Security; CFIUS, Skadden, Arps, Slate, Meagher & Flom LLP
Dan Gerkin advises on issues involving the transnational flow of goods, software, technology and services, as well as investments in the United States and abroad.
Specifically, Mr. Gerkin counsels a variety of U.S., international and multinational clients in matters concerning U.S. export controls, economic embargoes and sanctions, investment security reviews, customs, and trade remedies and other trade-related investigations, often in connection with mergers and acquisitions and other business transactions.
Mr. Gerkin represents clients regarding compliance with the Export Administration Regulations (EAR), including anti-boycott compliance, the International Traffic in Arms Regulations (ITAR), the embargoes and sanctions programs administered by the Office of Foreign Assets Control, and sanctions-related legislation. Additionally, he assists clients with commodity classification requests, commodity jurisdiction requests, advisory opinion requests, applications for licenses and other export authorizations, voluntary prior disclosures and responses to administrative subpoenas, and has created comprehensive export compliance policies and procedures manuals.
Mr. Gerkin has counseled clients in connection with matters implicating the Committee on Foreign Investment in the United States (CFIUS) and has successfully led a number of clients through the CFIUS clearance process. His experience includes transactions in the energy, telecommunications, financial services and industrial sectors, among others.
Additionally, Mr. Gerkin represents U.S. importers before U.S. Customs and Border Protection (CBP) and the U.S. Court of International Trade in connection with a wide variety of customs matters, including tariff classification, import valuation, country of origin, country of origin marking, preferential programs and free trade agreements, drawback, reconciliation, temporary importations under bond, Foreign Trade Zones, and textile quota and visa requirements. He also represents foreign manufacturers and exporters and U.S. importers in traditional and nonmarket anti-dumping and countervailing duty proceedings, as well as in Section 201, 232 and 301 proceedings.
Professor and Co-Director of the Herbert Smith Freehills China International Business and Economic Law (CIBEL) Centre, UNSW Law
Prof. Heng Wang is a professor and co-director of UNSW Law's Herbert Smith Freehills China International Business and Economic Law (CIBEL) Centre, the largest centre in this field outside China. He is also a co-director of Tsinghua-UNSW Joint Research Centre for International Commercial and Economic Law (JCICEL). Previously, as a professor at Southwest University of Political Science and Law (SWUPL), China, he headed a WTO law center (established by the Department of Treaty and Law, the Ministry of Commerce and SWUPL) and has been the recipient of top research awards and several major grants, including the triennial China Outstanding Law Research Award, twice, (China Law Society) and the Outstanding Research Award in Humanities and Social Science (the Ministry of Education). He was a visiting professorial fellow at UNSW Law (2012-2015). Heng’s research interest focuses on the frontline of China’s international economic law practice (e.g. the Belt and Road Initiative, China-US economic relationship, free trade agreements, possible central bank digital currency), its rationale and implications. His recent papers study US-China trade war, and China’s approach to the Belt and Road Initiative.
Heng has spoken at the WTO Headquarters and over 50 universities in America, Europe, Asia, and Africa, including Harvard University, Oxford University, Columbia University, New York University, University of Pennsylvania, University of Virginia, the LSE, University of Paris 1 and Waseda University. He was a Fernand Braudel Senior Fellow and a Max Weber Fellow at European University Institute. As a visiting professor, he taught at UNSW, University of Ottawa, Case Western Reserve University, Yokohama National University, Xiamen University, and China University of Political Science and Law. In 2019, he taught courses at National University of Singapore and Chinese University of Hong Kong (Shenzhen). Besides being a visiting professor at Sant'Anna School of Advanced Studies and the University of Cagliari, he conducted research at the WTO Secretariat and was the university professorial fellow at SWUPL.
Besides books, he published widely within and outside of China in journals including Journal of International Economic Law, Journal of World Trade, Cornell International Law Journal, Columbia Journal of Asian Law, and Tsinghua China Law Review. Heng was an Executive Council member of the Society of International Economic Law (2008-2015) and is a founding member of the Asian International Economic Law Network, a member of the Asian WTO Research Network, and an executive member of governing council of all three Chinese societies of international economic law or WTO law.
Heng has advised or provided training to the government, international organization (the APEC), and the private sector, and is an arbitrator of arbitration institutions in China and Europe.
He has been often interviewed by media in Australia, China, the US and elsewhere, including by the BBC, Reuters, the Australian Broadcasting Corporation, the South China Morning Post, SBS, Australia Financial Review, and the Australian.
Senior Analyst, Futurum Research
Olivier Blanchard has extensive experience managing product innovation, technology adoption, digital integration, and change management for industry leaders in the B2B, B2C, B2G sectors, and the IT channel. His passion is helping decision-makers and their organizations understand the many risks and opportunities of technology-driven disruption, and leverage innovation to build stronger, better, more competitive companies. A trusted source of analysis and insights on digital business and digital innovation, Olivier also travels the globe speaking about business technology, Disruption as a Model (DaaM), and the impact of innovation on markets and culture. He is also the best-selling author of Social Media RIO: Managing and Measuring Social Media Efforts in Your Organization, and co-author of Building Dragons: Digital Transformation in the Experience Economy. Blanchard is based in Greenville, South Carolina.
President and Founder, International Center for Law & Economics
Geoffrey A. Manne is the president and founder of the International Center for Law and Economics (ICLE), a nonprofit, nonpartisan research center based in Portland, Oregon. He is also a distinguished fellow at Northwestern Law School’s Searle Center on Law, Regulation, & Economic Growth. In April 2017 he was appointed by FCC Chairman Ajit Pai to the FCC’s Broadband Deployment Advisory Committee, and he recently served for two years on the FCC’s Consumer Advisory Committee.
Mr. Manne earned his JD and AB degrees from the University of Chicago and is an expert in the economic analysis of law, specializing in competition, telecommunications, consumer protection, intellectual property, and technology policy.
Prior to founding ICLE, Manne was a law professor at Lewis & Clark Law School. From 2006-2009, he took a leave from teaching to develop Microsoft’s law and economics academic outreach program. Manne has also served as a lecturer in law at the University of Chicago Law School and the University of Virginia School of Law. He practiced antitrust law and appellate litigation at Latham & Watkins, clerked for Hon. Morris S. Arnold on the 8th Circuit Court of Appeals, and worked as a research assistant for Judge Richard Posner. He was also once (very briefly) employed by the FTC.
Mr. Manne’s publications have appeared in numerous journals including the Journal of Competition Law and Economics, the Harvard Journal of Law and Technology, the Supreme Court Economic Review, and the Arizona Law Review, among others. With former FTC Commissioner, Joshua Wright, Manne is the editor of a volume from Cambridge University Press entitled, Competition Policy and Intellectual Property Law Under Uncertainty: Regulating Innovation. Manne has also testified on several occasions before Congress and at the FCC and FTC, and he regularly files written comments and amicus briefs on key antitrust, IP, and telecommunications issues. His analysis is frequently published in popular print and broadcasting outlets such as the Wall Street Journal, Wired, Foreign Affairs, NPR, and Bloomberg, among others.
Manne is a member of the American Law and Economics Association, the Canadian Law and Economics Association, and the Society for Institutional & Organizational Economics. He blogs at Truth on the Market (www.truthonthemarket.com) (of which he is also the co-founder), is a contributor at WIRED, and tweets at @geoffmanne. His scholarly publications are available at http://ssrn.com/author=175541.
Former EVP and GC, CSRA Inc; former EVP and GC, SIGA Technologies; former Chief Corporate Counsel, Chevron Corporation; former GC of the Dept of Defense
Jim Haynes is a corporate executive advising early-stage companies in emerging technologies.
Mr. Haynes has served at the highest levels in the private sector (as executive vice president and chief legal officer of two publicly traded corporations) and the public sector (with senateconfirmed appointments by two United States presidents.) Most recently, Mr. Haynes was executive vice president, general counsel and secretary of CSRA Inc., a next generation information technologies solutions and services company, until CSRA was acquired by General Dynamics Corporation for $9.7 billion.
Earlier in his career, Mr. Haynes was executive vice president and general counsel of SIGA Technologies, Inc. (biotechnology); chief corporate counsel of Chevron Corporation (energy); and staff vice president and associate general counsel of General Dynamics Corporation (government contractor).
Mr. Haynes is the longest serving General Counsel of the Department of Defense (2001-2008), holding that office under Secretaries Donald H. Rumsfeld and Robert M. Gates during the administration of President George W. Bush. From 1990-1993, Mr. Haynes served as General Counsel of the Department of the Army during the administration of President George H. W. Bush.
Mr. Haynes was twice a partner in Jenner & Block, a national law firm. Mr. Haynes also was a volunteer in central Asia for Mercy Corps International, helping manage a micro-credit program.
After graduating from Davidson College and Harvard Law School, Mr. Haynes clerked for Judge James B. McMillan in Charlotte, North Carolina. Mr. Haynes then served four years active duty as a captain in the U. S. Army.
Mr. Haynes has earned numerous honors and awards, including various medals from the Department of Defense; the Departments of the Army, Navy, and Air Force; and the Department of Justice. Mr. Haynes holds an honorary Doctor of Laws from Stetson University Law School. Mr. Haynes is a member of the advisory committee of the National Security Institute of the Antonin Scalia Law School at George Mason University; a member of the advisory council of the United States Court of Federal Claims; a trustee of the Supreme Court Historical Society; and a trustee of the Greater New York Councils of the Boy Scouts of America.
Partner, Sullivan & Cromwell LLP
Eric Kadel is engaged in a wide variety of corporate, transactional and regulatory matters. He is a member of the Firm’s Corporate and Finance, Financial Services, Investment Management, Alternative Investment Management, Cybersecurity, and Commodities, Futures and Derivatives Groups. With regard to financings, Mr. Kadel regularly represents participants in capital markets transactions, and dealers and end users in connection with structuring and documenting a wide variety of swaps and other derivatives, including equity, credit default and commodity swaps, options and forwards. Mr. Kadel’s work in the investment management area includes advising public and private investment companies and investment advisers on a wide variety of transactional, regulatory, compliance and other matters, including registration and regulation. Mr. Kadel also advises clients of the Firm regarding developments in the laws regulating the financial services industry and on cybersecurity issues. Mr. Kadel is currently an adjunct professor at George Washington University Law School.
In addition, Mr. Kadel is one of the principal partners in the Firm’s International Trade and Investment practice. He counsels and represents clients on questions about U.S. economic sanctions, including those administered by the Treasury Department’s Office of Foreign Assets Control (“OFAC”), United States antiboycott requirements under the Export Administration Regulations administered and enforced by the Commerce Department’s Office of Antiboycott Compliance within the Bureau of Industry and Security, Bank Secrecy Act/anti‐money laundering laws and the U.S. Foreign Corrupt Practices Act (“FCPA”). Mr. Kadel’s practice includes analysis of proposed transactions and business relationships; due diligence and design and review of compliance procedures and strategies; and internal investigations, voluntary disclosures and government enforcement actions. Mr. Kadel also regularly advises clients regarding questions arising under Exon-Florio and the transaction review process administered by the Committee on Foreign Investment in the United States (“CFIUS”), and has represented clients before CFIUS on many national security reviews.
Partner, Mayer Brown
Prof. Tim Keeler, an attorney in the Government and International Trade Group, joined Mayer Brown in 2009, and brings an in-depth knowledge of international trade law and economic policy matters, and a history of working in the Executive Branch and Congress on major economic, legislative and regulatory issues.
Prior to joining Mayer Brown, Professor Keeler served in a variety of senior positions in the U.S. Government for almost 12 years. Most recently he was the Chief of Staff in the Office of the U.S. Trade Representative (USTR) from 2006 - 2009, where he oversaw implementation of U.S. policy, strategy and negotiations involving all aspects of international trade and investment matters. He worked on a number of key issues including: climate change and trade; US and China relations; WTO negotiations and litigation; free trade agreement negotiations and implementation; and CFIUS decisions.
Before working for USTR, Prof. Keeler spent more than five years at the Treasury Department from 2001 – 2006. He joined the Office of Legislative Affairs in 2001 as a Deputy to the Assistant Secretary for International Issues, where he was responsible for Treasury’s legislative strategy on issues including capital market sanctions, foreign exchange rate policy testimony, appropriations for U.S. agreements to replenish the World Bank and other Multilateral Development Banks, multilateral debt relief, and U.S. participation in the International Monetary Fund. He later managed the Office of Legislative Affairs from 2002 - 2006 and assisted on all policy and personnel issues in the Office. This included leading Treasury nominees through the U.S. Senate confirmation process, legislative strategy on Treasury Intelligence and Terrorist Financing matters, and advising on major economic legislative initiatives such as the 2003 tax cuts and social security reform proposals.
Prof. Keeler also served on the Presidential Transition Team in 2000–2001 as a policy coordinator on export control and trade remedy policy, handling the Commerce Department’s Bureau of Export Administration (now called the Bureau of Industry and Security) and the International Trade Commission (ITC).
Earlier in his career, Prof. Keeler served as a professional staff member for international trade on the US Senate Finance Committee under Chairman William V. Roth (R-DE). There he worked on legislation establishing permanent normal trade relations (PNTR) between the U.S. and China, preferential trade programs for Sub-Saharan Africa (the African Growth and Opportunity Act) and the Caribbean basin, the Generalized System of Preferences, legislation to bring the U.S. into compliance with the WTO decision on the Foreign Sales Corporation provisions of the Internal Revenue Code, and the miscellaneous tariff bill.
In recognition of his government service, Prof. Keeler was awarded the USTR Distinguished Service Award, the Treasury Distinguished Service Award, and the Treasury Secretary’s Honor Award twice.
Prof. Keeler is also an adjunct professor at the Georgetown University School of Law, co-teaching a course on U.S. and WTO law, policy, and politics; is a member of the Board of Directors of the Washington International Trade Foundation; and is a term member of the Council on Foreign Relations. Prof. Keeler has spoken at conferences on international trade and economic issues sponsored by, inter alia, the American Bar Association (Climate Change and Trade, March 2009), the Korea Economic Institute (the U.S. – Korea Free Trade Agreement, October 2010), and the U.S.-China Business Council (Sec. 421 tires safeguard case, July 2009; and the U.S. – China Economic and Political Relationship, January 2010).
Co-Chair, NYU Center for Cybersecurity; Distinguished Fellow, Center on Law and Security; Professor of Practice, New York University School of Law
Randal Milch is the Co-Chair of the NYU Center for Cybersecurity, a Distinguished Fellow at the Center on Law and Security, and a Professor of Practice at NYU School of Law. He was most recently executive vice president and strategic policy adviser to Verizon’s chairman and CEO. He served as the company’s general counsel from 2008 to 2014, and before that was general counsel of several business divisions within Verizon. At Verizon, Milch chaired the Verizon Executive Security Council, which was responsible for information security across all Verizon entities. Milch was responsible for national security matters at Verizon beginning in 2006, and has served as the senior cleared executive at Verizon. Earlier in his career, Milch was a partner in the Washington, DC office of Donovan Leisure Newton & Irvine. Milch holds a JD from New York University School of Law and a BA from Yale University.
Executive Vice President, General Counsel, and Corporate Secretary, Qualcomm
Donald J. Rosenberg is executive vice president, general counsel and corporate secretary of Qualcomm Incorporated. Mr. Rosenberg reports directly to CEO Steve Mollenkopf and is a member of the company's Executive Committee. In his role as chief legal officer, he is responsible for overseeing Qualcomm's worldwide legal affairs including litigation, intellectual property and corporate matters. Qualcomm's Government Affairs, Internal Audit and Compliance organizations also report to him.
Prior to joining Qualcomm, Mr. Rosenberg served as senior vice president, general counsel and corporate secretary of Apple Inc. Prior to that, he was senior vice president and general counsel of IBM Corporation where he had also held numerous positions including vice president and assistant general counsel for litigation and counsel to IBM's mainframe division.
Mr. Rosenberg has had extensive experience in corporate governance, compliance, law department management, litigation, securities regulation, intellectual property and competition issues.
Mr. Rosenberg is a board member of NuVasive, Inc., Corporate Directors Forum, CONNECT, La Jolla Music Society, La Jolla Playhouse and a trustee of Rady Children's Hospital San Diego and the Sanford Burnham Prebys Medical Discovery Institute. He is immediate past National Co-Chairman of the Board of the Lawyers' Committee for Civil Rights Under Law, where he continues to serve on the Board and the Executive Committee.
Mr. Rosenberg is a member of the International Advisory Board, University of California San Diego (UCSD) School of Global Policy and Strategy. He is also a member of the China Leadership Board for the 21st Century China Center at the UCSD. He has served as an adjunct professor of law at New York's Pace University School of Law, where he taught courses in intellectual property and antitrust law.
Mr. Rosenberg received a Bachelor of Science degree in mathematics from the State University of New York at Stony Brook and his juris doctor from St. John's University School of Law.
Director and Associate General Counsel, Cybersecurity & Investigations, Meta
Hayley Chang serves as Director and Associate General Counsel for Cybersecurity and Investigations at Meta (formerly Facebook), where she leads the legal team focused on protecting the company and its 3.6 billion users from malicious activity in cyberspace.
Prior to transitioning to the tech industry, Ms. Chang held several senior roles in government – all focused on law enforcement, national security, and cybersecurity. Most recently, she served as Deputy General Counsel of the FBI, where she oversaw the 9/11 litigation and contributed significantly to the investigation of the 2019 Pensacola terrorist attack.
Ms. Chang previously served as Deputy General Counsel for Cyber and Technology at the U.S. Department of Homeland Security, where she led the Department’s successful effort to obtain passage of the Preventing Emerging Threats Act of 2018. Ms. Chang testified before Congress in support of the new law, which enables federal law enforcement to use advanced technology to counter emerging threats from drones. She also led the Department’s legal strategy to leverage new cyber authorities to mitigate a Russia-based cybersecurity threat. This initiative resulted in a complete ban of all Kaspersky products across the federal government. The Department prevailed against subsequent legal challenges at the district court and appellate levels. These and other cutting-edge efforts culminated in the successful creation of the Cybersecurity and Infrastructure Security Agency (CISA).
Ms. Chang’s government service also includes six years as a federal prosecutor, where she won the Distinguished Service Award and the Director’s Award for her successes in complex trials. Additionally, in two separate rounds of government service, Ms. Chang played critical roles in efforts to enhance CFIUS authorities, with the successful passage of the Foreign Investment and National Security Act (FINSA) in 2007 and the Foreign Investment Risk Review Modernization Act (FIRRMA) over a decade later.
Ms. Chang’s private practice experience includes litigation, appeals, and government investigations, and she was the General Counsel for a financial technology company designed to serve U.S. veterans.
Ms. Chang is a graduate of Cornell Law School, where she served as an editor of the Cornell Law Review. She received her bachelor’s degree from Hillsdale College. Following law school, she clerked for Chief Judge Timothy Tymkovich on the United States Court of Appeals for the Tenth Circuit.
Deputy General Counsel, U.S. Department of Homeland Security
Giovanna M. Cinelli is the leader of the international trade and national security practice. As a practitioner for more than 25 years, she counsels clients in the defense and high-technology sectors on a broad range of issues affecting national security and export controls, including complex export compliance matters, audits, cross-border due diligence, and export enforcement, both classified and unclassified.
She handles complex civil and criminal export-related investigations and advises on transactional due diligence for regulatory requirements involving government contracts, export policy, and compliance, as well as settlement of export enforcement actions before the US departments of State, Commerce, Treasury, and Defense, and related agencies. Giovanna has conducted dozens of export investigations and has negotiated six consent agreements before the Department of State. She advises clients on matters before the Committee of Foreign Investment in the United States (CFIUS), and addresses mitigation requirements that may apply as part of CFIUS clearances for cross-border transactions. Giovanna is a member of the Morgan Lewis CFIUS working group.
Additionally, Giovanna has developed and assisted clients with the implementation of business-related strategies with adherence to strict requirements addressing US government national security and critical infrastructure concerns, as well as Foreign Agents Registration Act (FARA) requirements.
Giovanna serves as an expert witness on export issues affecting litigations and arbitrations, both in the US and abroad, involving controlled goods, technologies, data, and services. Her testimony has addressed complex licensing and compliance issues related to the conduct of trials and arbitration proceedings both in the United States and globally, and she has been called to testify as an expert witness on matters affecting compliance with the International Traffic in Arms Regulations and the Export Administration Regulations. She has addressed the challenging issues associated with the extraterritorial application of US export laws and regulations within litigations and arbitrations, and has assisted clients when navigating the conflicting requirements these may laws create.
Giovanna regularly speaks and writes on international arms trade, technology transfer, national security cross-border requirements, and export issues. She has participated in panel discussions related to CFIUS and technology transfer hosted by the Center for Strategic and International Studies and the Council on Foreign Relations. She has appeared on CNN's "Burden of Proof" and MSNBC's "Hardball with Chris Matthews" as an expert in international technology transfer, arms exports, and related national security issues. As a member of the Defense Trade Advisory Group for nearly two decades, Giovanna engages regularly with the Department of State on matters affecting defense trade. She was a member of the Regulations and Procedures Technical Advisory Committee and is in her third term as a member of the Department of Commerce's Virginia/DC District Export Council.
Concurrent with her private practice, Giovanna served as a Naval Reserve intelligence officer, where she specialized in Soviet-era submarine platforms, national security, and intelligence issues. She is fluent in French and Italian, and a violinist with the Washington Opera Society.
Partner, Skadden, Arps, Slate, Meagher & Flom
Most recently, Mr. Leiter was president of Leidos Defense, a $2.5 billion business unit of Leidos, which provides technology and solutions to the U.S. Department of Defense and allied nations globally. He joined Leidos in 2014 as chief strategy officer and executive vice president for business development, and negotiated, among other deals, its acquisition of Lockheed Martin's Information Systems and Global Solutions business - an approximately $5 billion transaction. Immediately after leaving the government in 2011, he served as head of global government and cyber solutions and senior counselor to the chief executive officer at Palantir Technologies, based in Palo Alto.
Mr. Leiter has served in a number of senior national security positions in the federal government. He was the director of the National Counterterrorism Center (NCTC) from 2007 until 2011 for both Presidents Bush and Obama, where he led the primary organization in the U.S. government for analysis and integration of all terrorism intelligence, both domestically and overseas. In addition, he reported directly to the president for strategic operational planning of all U.S. counterterrorism activities, to include the integration of military, intelligence, cyber, diplomatic, financial and homeland security programs and operations. In this role and in his private sector capacities, he worked extensively with senior government officials and corporations across Europe, the Middle East, Asia, Australasia and Africa, and also coordinated global intelligence and law enforcement investigations involving the U.S. and allies around the world.
Before NCTC, Mr. Leiter helped establish the Office of the Director of National Intelligence, serving as its deputy chief of staff responsible for oversight of the U.S. intelligence community, including the CFIUS process and all legislative affairs. He also served as the deputy general counsel and assistant director of the President's Commission on the Intelligence Capabilities of the United States Regarding Weapons of Mass Destruction.
Mr. Leiter continues to serve as an advisor to multiple organizations in and outside of government, to include being the vice chairman of the RAND Corporation's Board of Trustees, a member of the American Law Institute's Adviser's Group on Data Privacy, the Department of Defense's Threat Reduction Advisory Committee, the NCTC Director's Advisory Board, the Aspen Institute's Homeland Security Advisory Group and the Columbia University Data and Society Council. He also serves as NBC News' senior national security, cybersecurity and counterterrorism analyst and is a member of the Council on Foreign Relations.
He has previously served as a senior adviser to Monument Capital Group (a mid-market private equity firm focused on technology and security); a member of the Board of Directors of GardaWorld Government Services; a member of several National Security Agency (NSA) advisory panels (Cybersecurity, Commercial Technology and Strategic Communications); a member of the National Academies Committee on Responding to Presidential Policy Directive 28; The Feasibility of Software to Provide Alternatives to Bulk Signals Intelligence Collection ; a member of the Bipartisan Policy Center Homeland Security Project; a member of the Board of Trustees of the National Defense Industrial Association; and as the inaugural Scholar-in-Residence at New York University Law School's Center on Law and Security.
Prior to his work in national security positions, he was an Assistant United States Attorney for the Eastern District of Virginia, where he investigated and brought to trial a wide range of federal crimes to include racketeering, capital murder and money laundering. Immediately after graduating from law school, Mr. Leiter was a law clerk to Associate Justice Stephen G. Breyer of the Supreme Court of the United States and Chief Judge Michael Boudin of the U.S. Court of Appeals for the First Circuit.
Before attending law school, Mr. Leiter served as a naval flight officer aboard EA-6B Prowlers, an electronic warfare and signals intelligence carrier-based jet, during which time he participated in combat and peacekeeping operations in the former Yugoslavia and Iraq.
Will COVID-19 Affect International Trade and Globalization?
Daniel J. Gerkin, Heng Wang
The Federalist Society will host two world-renowned experts—Daniel Gerkin and Prof. Heng Wang—for a conversation...
Will COVID-19 Affect International Trade and Globalization?
TeleforumTopics
The DOJ and Other Federal Agencies Oppose the FTC in FTC v. Qualcomm
On May 21, 2019, the U.S. District Court for the Northern District of California issued...
Federal Trade Commission v. Qualcomm Incorporated: Post-Mortem
Olivier Blanchard, Geoffrey A. Manne
This teleforum will investigate the potential impact of the pending decision in the FTC's controversial...
Federal Trade Commission v. Qualcomm Incorporated: Post-Mortem
TeleforumNational Security Law & Doing Business Abroad
2018 National Lawyers Convention
Washington, DCNational Security Law & Doing Business Abroad
William J. Haynes, Eric J. Kadel, Timothy J. Keeler, Randal S. Milch, Donald J. Rosenberg
U.S. businesses operating in the global economy, and non-U.S. businesses operating or looking to invest...
National Security Law & Doing Business Abroad
William J. Haynes, Eric J. Kadel, Timothy J. Keeler, Randal S. Milch, Donald J. Rosenberg
U.S. businesses operating in the global economy, and non-U.S. businesses operating or looking to invest...
Panel Discussion on CFIUS
A Capitol Hill Chapter Event
Washington, DCQualcomm Litigation Update
Stewart A. Baker, John Shu
On March 5, the committee on Foreign Investment in the United States (CFIUS) raised objection...