Retired, Winston & Strawn LLP
Jerry Loeser is of counsel in the Chicago office of Winston & Strawn, and his practice focuses on banking regulation. He has extensive experience in counseling financial services clients on, among other things, bank acquisitions, privacy, financial modernization, the USA PATRIOT Act, Basel II and III, lending limits, capital, trust, affiliate transactions, and Federal Reserve, OCC, FDIC, and CFPB regulations.
Prior to working at large corporate law firms, Jerry was chief regulatory and compliance counsel for Comerica Bank, where he also served as senior vice president and deputy general counsel and as general counsel of its retail bank division. Before that, he served as chief regulatory in-house counsel at Wells Fargo & Co. Jerry began his legal career advising the Board of Governors of the Federal Reserve System in Washington, D.C.
Assistant Professor of Business Law, Michigan Ross School of Law
Jeremy Kress is an Assistant Professor of Business Law at Michigan Ross and Co-Faculty Director of the University of Michigan’s Center on Finance, Law & Policy. His research focuses on bank regulation, systemic risk, and financial stability. Professor Kress' written work has appeared or is forthcoming in the Duke Law Journal, Northwestern University Law Review, Southern California Law Review, and Yale Journal on Regulation, among other journals.
Before entering academia, Professor Kress was an attorney in the banking regulation and policy group at the Federal Reserve Board of Governors in Washington, D.C. In that capacity, he drafted rules to implement the Dodd-Frank Act and Basel III, and he advised the Board on the legal permissibility of bank mergers and acquisitions.
Professor Kress has testified before Congress and serves as a member of the Federal Reserve Bank of New York’s Education and Industry Forum on Financial Services Culture. He frequently comments on financial regulatory matters in the press. Professor Kress has been featured in media outlets including the Wall Street Journal, New York Times, Financial Times, Washington Post, Bloomberg News, NPR's Marketplace, Politico, Yahoo Finance, and American Banker.
Professor Kress teaches Legal Issues in Finance & Banking at Michigan Ross, and he has taught Financial Regulation at Michigan Law School. He was named one of Poets & Quants’ “Top 50 Undergraduate Professors of 2020” and won Michigan Ross’ Neary Teaching Excellence Award in 2019.
Professor Kress graduated cum laude from Harvard Law School and from the Harvard Kennedy School, where he was a Presidential Scholar. He holds a BBA from Michigan Ross.
Resident Scholar, American Enterprise Institute
Paul H. Kupiec is a resident scholar at the American Enterprise Institute (AEI), where he studies systemic risk and the management and regulations of banks and financial markets. He also follows the work of financial regulators such as the Federal Reserve and examines the impact of financial regulations on the US economy.
Before joining AEI, Kupiec was an associate director of the Division of Insurance and Research within the Center for Financial Research at the Federal Deposit Insurance Corporation (FDIC), where he oversaw research on bank risk measurement and the development of regulatory policies such as Basel III. Kupiec was also director of the Center for Financial Research at the FDIC and chairman of the Research Task Force of the Basel Committee on Banking Supervision. He has previously worked at the International Monetary Fund (IMF), Freddie Mac, J.P. Morgan, and for the Division of Research and Statistics at the Board of Governors of the Federal Reserve System.
Kupiec has edited many professional journals, including the Journal of Financial Services Research, Journal of Risk, and Journal of Investment Management.
He has a bachelor of science degree in economics from George Washington University and a doctorate in economics — with a specialization in finance, theory, and econometrics — from the University of Pennsylvania.
Associate Professor of Legal Studies & Business Ethics; Co-Director, Wharton Initiative on Financial Policy and Regulation, The Wharton School, University of Pennsylvania
Christina Parajon Skinner is an expert on financial regulation. Her research focuses on central banking, the debt markets, separation of powers, corporate governance, and law and macroeconomics. Professor Skinner’s work is international and comparative in scope, drawing on her experience as an academic and central bank lawyer in the United Kingdom. Her research has been published or is forthcoming in the Columbia Law Review, the Duke Law Journal, the Vanderbilt Law Review, and the Georgetown Law Journal, among other leading academic journals. Professor Skinner has also contributed to financial regulatory policy working groups, including those convened by the Federal Reserve Bank of New York, the Financial Stability Board, and the U.K. Banking Standards Board.
Prior to joining the faculty at Wharton, Professor Skinner served as legal counsel at the Bank of England, in the Financial Stability Division of the Bank’s Legal Directorate. Her work there focused principally on matters of bank resolution, financial market infrastructure, and macroprudential policy. Previously, Professor Skinner was an Academic Visitor at the University of Oxford, Faculty of Law and a Visiting Fellow at the London School of Economics, Law Department. From 2014-2016, she was a post-doctoral fellow and lecturer in Law at Columbia Law School.
Professor Skinner received her J.D. from Yale Law School, and an A.B. from the School of Public and International Affairs at Princeton University, with a concentration in international economics. She received certificates of proficiency in European Politics and Society, and Spanish Language and Culture.
She is married with five children.
Director, Stanford Graduate School of Business
Graham Steele is the director of the Corporations and Society Initiative at Stanford Graduate School of Business. Prior to joining Stanford GSB, Graham was a member of the staff of the Federal Reserve Bank of San Francisco.
From 2015 to 2017, Graham was the Minority Chief Counsel for the Senate Committee on Banking, Housing & Urban Affairs. From 2010 to 2015 he was a Legislative Assistant for United States Senator Sherrod Brown (D-OH), handling the Senator’s work as a member of the Senate Banking Committee. He also spent four years as the staff director of the Subcommittee on Financial Institutions & Consumer Protection. Prior to joining Senator Brown’s staff, Graham was a policy counsel at Public Citizen’s Congress Watch in Washington, D.C.
Graham received his bachelors degree in political science from the University of Rochester and his law degree from The George Washington University Law School. He is a member of the Massachusetts State Bar. He is originally from Brookline, Massachusetts.
Partner, Baker Botts LLP
Drawing from two decades of experience in senior government, in-house corporate, and private law firm roles, Jeff Wood helps clients with federal enforcement, compliance, litigation, permitting, and policy challenges primarily in the energy and environmental fields.
Prior to joining Baker Botts, Mr. Wood served for almost two years as the Acting Assistant Attorney General (AAG) for the Justice Department's Environment and Natural Resources Division (ENRD). In that capacity, Mr. Wood led ENRD and its more than 600 attorneys and staff representing EPA, Departments of the Interior, Energy, and Defense, and other agencies in civil and criminal enforcement and defensive environmental, energy, and natural resources litigation.
As the top official in ENRD, Mr. Wood managed a complex organization with an annual budget exceeding $200 million and a docket of more than 6,000 cases and matters. E&E News noted that “Wood maintains a strong relationship with ENRD's career staff” (Greenwire, Oct. 31, 2018). He previously served on the staff of the United States Senate Committee on Environment and Public Works.
At the Justice Department, Mr. Wood oversaw the Division's civil and criminal enforcement programs and was responsible for developing legal strategies and approving briefs in key cases including filings before the Supreme Court and Courts of Appeals in coordination with the Office of Solicitor General. In this role, Mr. Wood held the highest level security clearance and worked closely with top leadership at DOJ, EPA, the Interior Department, USDA, the Energy Department, Transportation Department, FERC, NRC and across the Executive Branch, including the White House.
With many years of both private law firm and in-house legal experience, Mr. Wood has handled complex environmental enforcement, regulatory, policy, and litigation matters for electric utilities, energy companies, maritime companies, mining companies, real estate developers, financial institutions, industrial companies and manufacturers, business coalitions, associations, small businesses, and individual property owners. Drawing from his experiences in-house, Mr. Wood brings a common-sense, cost-effective, client-focused approach to his work every day.
With a strong national reputation, Mr. Wood is a frequent speaker on environmental law and policy matters, with recent speeches and presentations at the Environmental Law Institute, Harvard Law School, Vanderbilt Law School, American University Law School, American Bar Association Environmental Law Conferences, the Texas Environmental SuperConference, Air Force Judge Advocate General School's Advanced Environmental Law Course, Baker Institute's Center for Energy Studies (Rice University), and many other venues. He frequently appears in national news to share insights on significant environmental law and policy issues, including recent quotes in the New York Times, Washington Post, Wall Street Journal, Bloomberg, Law360, and E&E News, among others.
Partner, BakerHostetler, Adjunct Fellow, The Manhattan Institute
Andrew Grossman leads BakerHostetler’s Appellate and Major Motion team. He has appeared before the U.S. Supreme Court, nearly all the federal courts of appeals, as well as some state appellate courts, litigating high-profile and complex commercial, administrative and constitutional issues.
Andrew works with practice groups across BakerHostetler to identify and tackle complex issues, advise on administrative law and strategy, tee up issues for appeal and tackle appeals. He has developed and implemented litigation and administrative strategies for clients in several fields and industries.
In addition to his practice, Andrew advises members of Congress on matters of constitutional and administrative law, having testified more than a dozen times before the House and Senate Judiciary Committees. He has been a frequent legal commentator on radio and television, having appeared on Fox News, CNN, MSNBC, CNBC, NPR and its affiliates, CBN and elsewhere. His legal commentary has also appeared in dozens of magazines and newspapers, including The Wall Street Journal, USA Today, The Washington Post, The Washington Times and many others.
Andrew is a Senior Legal Fellow at the Buckeye Institute, an Adjunct Fellow the Manhattan Institute and a member of the leadership of the Federalist Society. He previously served as an adjunct scholar at the Cato Institute’s Robert A. Levy Center for Constitutional Studies and a legal fellow at the Heritage Foundation’s Meese Center for Legal and Judicial Studies. He clerked for Judge Edith H. Jones on the U.S. Court of Appeals for the Fifth Circuit.
Associate, Baker Hostetler
Sean Sandoloski is a member of BakerHostetler’s Appellate and Major Motions Team. Sean has represented clients at every level of the federal judiciary, as well as in multiple federal agencies and state courts. He has extensive experience in constitutional, administrative, and antitrust law and litigation.
Sean has developed and implemented litigation, administrative, legislative, and communications strategies for clients—presenting holistic solutions for complex problems. He regularly works across groups and offices to tackle high-stakes, fast-moving issues, and advise clients on strategic and regulatory matters. Throughout his career, Sean has worked to cultivate and foster relationships at all levels from the highest offices in government to corporate executives to benefit his clients.
Prior to joining BakerHostetler, Sean served as Special Assistant and Associate Counsel to the President in the Office of White House Counsel, where his primary responsibilities included the selection and confirmation of judicial nominees. There, Sean worked closely with the Department of Justice, a number of federal agencies, and various congressional committees. He also previously served in the Appellate Section of the Department of Justice’s Antitrust Division, representing the United States in the courts of appeals and advising Division leadership on complex issues of federal law. Additionally, he clerked for Judge Steven M. Colloton of the United States Court of Appeals for the Eighth Circuit.
Partner, Foley & Lardner LLP
A trial and courtroom lawyer for over 30 years, Jason A. Levine is an antitrust and commercial litigation partner in the Washington, D.C. office of Foley & Lardner LLP.
Mr. Levine has served as lead counsel for clients in high-stakes and often multi-faceted business disputes. His diverse practice focuses on antitrust, complex contractual, and business tort suits. Mr. Levine tried 14 cases to judges and juries across the country, briefed and argued dozens of dispositive motions and several precedent-setting appeals, and has had an active amicus practice before the U.S. Supreme Court for nationwide trade associations. He was also lead counsel to defendants in several of the nation’s largest antitrust class actions and MDLs. Mr. Levine has perennially been recognized as a prominent litigator by Best Lawyers, SuperLawyers, Benchmark Litigation, and Global Competition Review. He also spent nearly four years as an Investment Manager at Omni Bridgeway, a global commercial litigation finance company, where he launched and led the Washington, D.C. office and led the U.S. antitrust strategy.
Mr. Levine received his B.A. summa cum laude (Phi Beta Kappa) from Brandeis University in 1991 and his J.D. cum laude from Harvard Law School in 1994, where he was Editor-in-Chief of the Harvard Journal of Law & Public Policy. Before entering private practice, Mr. Levine was a law clerk for Judge Randall Rader on the U.S. Court of Appeals for the Federal Circuit, where he focused on the court’s Takings and administrative cases.
Attorney, Pacific Legal Foundation
Jeff McCoy is an attorney at Pacific Legal Foundation. Jeff joined PLF in 2017. Since then, he has focused his litigation on separation of powers and private property rights. Jeff also leads PLF’s coastal land rights initiative, which seeks to strengthen and defend statutory and constitutional protections for coastal property owners across the country.
Throughout his career, Jeff has worked for various organizations that promote individual liberty and limited government. Prior to joining PLF, Jeff was a staff attorney at Mountain States Legal Foundation in Lakewood, Colorado, for five years. His work at Mountain States included helping secure victory for a Wyoming private property owner in U.S. Supreme Court case Marvin M. Brandt Revocable Trust v. United States. Besides Mountain States, Jeff worked as an intern for the Cato Institute during the spring of 2008, and after his first year of law school, he worked as a Charles G. Koch Summer Fellow at the Institute for Justice’s Seattle office.
Jeff received his B.A. degree in political science and philosophy from the University of Colorado in 2007 and his law degree, also from the University of Colorado, in 2011. During his time at law school, Jeff had the honor of working as a judicial extern for then-Judge Neil Gorsuch at the U.S. Court of Appeals for the Tenth Circuit.
Partner, Foley & Lardner LLP
A trial and courtroom lawyer for over 30 years, Jason A. Levine is an antitrust and commercial litigation partner in the Washington, D.C. office of Foley & Lardner LLP.
Mr. Levine has served as lead counsel for clients in high-stakes and often multi-faceted business disputes. His diverse practice focuses on antitrust, complex contractual, and business tort suits. Mr. Levine tried 14 cases to judges and juries across the country, briefed and argued dozens of dispositive motions and several precedent-setting appeals, and has had an active amicus practice before the U.S. Supreme Court for nationwide trade associations. He was also lead counsel to defendants in several of the nation’s largest antitrust class actions and MDLs. Mr. Levine has perennially been recognized as a prominent litigator by Best Lawyers, SuperLawyers, Benchmark Litigation, and Global Competition Review. He also spent nearly four years as an Investment Manager at Omni Bridgeway, a global commercial litigation finance company, where he launched and led the Washington, D.C. office and led the U.S. antitrust strategy.
Mr. Levine received his B.A. summa cum laude (Phi Beta Kappa) from Brandeis University in 1991 and his J.D. cum laude from Harvard Law School in 1994, where he was Editor-in-Chief of the Harvard Journal of Law & Public Policy. Before entering private practice, Mr. Levine was a law clerk for Judge Randall Rader on the U.S. Court of Appeals for the Federal Circuit, where he focused on the court’s Takings and administrative cases.
Attorney, Pacific Legal Foundation
Jeff McCoy is an attorney at Pacific Legal Foundation. Jeff joined PLF in 2017. Since then, he has focused his litigation on separation of powers and private property rights. Jeff also leads PLF’s coastal land rights initiative, which seeks to strengthen and defend statutory and constitutional protections for coastal property owners across the country.
Throughout his career, Jeff has worked for various organizations that promote individual liberty and limited government. Prior to joining PLF, Jeff was a staff attorney at Mountain States Legal Foundation in Lakewood, Colorado, for five years. His work at Mountain States included helping secure victory for a Wyoming private property owner in U.S. Supreme Court case Marvin M. Brandt Revocable Trust v. United States. Besides Mountain States, Jeff worked as an intern for the Cato Institute during the spring of 2008, and after his first year of law school, he worked as a Charles G. Koch Summer Fellow at the Institute for Justice’s Seattle office.
Jeff received his B.A. degree in political science and philosophy from the University of Colorado in 2007 and his law degree, also from the University of Colorado, in 2011. During his time at law school, Jeff had the honor of working as a judicial extern for then-Judge Neil Gorsuch at the U.S. Court of Appeals for the Tenth Circuit.
Partner, Foley & Lardner LLP
A trial and courtroom lawyer for over 30 years, Jason A. Levine is an antitrust and commercial litigation partner in the Washington, D.C. office of Foley & Lardner LLP.
Mr. Levine has served as lead counsel for clients in high-stakes and often multi-faceted business disputes. His diverse practice focuses on antitrust, complex contractual, and business tort suits. Mr. Levine tried 14 cases to judges and juries across the country, briefed and argued dozens of dispositive motions and several precedent-setting appeals, and has had an active amicus practice before the U.S. Supreme Court for nationwide trade associations. He was also lead counsel to defendants in several of the nation’s largest antitrust class actions and MDLs. Mr. Levine has perennially been recognized as a prominent litigator by Best Lawyers, SuperLawyers, Benchmark Litigation, and Global Competition Review. He also spent nearly four years as an Investment Manager at Omni Bridgeway, a global commercial litigation finance company, where he launched and led the Washington, D.C. office and led the U.S. antitrust strategy.
Mr. Levine received his B.A. summa cum laude (Phi Beta Kappa) from Brandeis University in 1991 and his J.D. cum laude from Harvard Law School in 1994, where he was Editor-in-Chief of the Harvard Journal of Law & Public Policy. Before entering private practice, Mr. Levine was a law clerk for Judge Randall Rader on the U.S. Court of Appeals for the Federal Circuit, where he focused on the court’s Takings and administrative cases.
Attorney, Pacific Legal Foundation
Jeff McCoy is an attorney at Pacific Legal Foundation. Jeff joined PLF in 2017. Since then, he has focused his litigation on separation of powers and private property rights. Jeff also leads PLF’s coastal land rights initiative, which seeks to strengthen and defend statutory and constitutional protections for coastal property owners across the country.
Throughout his career, Jeff has worked for various organizations that promote individual liberty and limited government. Prior to joining PLF, Jeff was a staff attorney at Mountain States Legal Foundation in Lakewood, Colorado, for five years. His work at Mountain States included helping secure victory for a Wyoming private property owner in U.S. Supreme Court case Marvin M. Brandt Revocable Trust v. United States. Besides Mountain States, Jeff worked as an intern for the Cato Institute during the spring of 2008, and after his first year of law school, he worked as a Charles G. Koch Summer Fellow at the Institute for Justice’s Seattle office.
Jeff received his B.A. degree in political science and philosophy from the University of Colorado in 2007 and his law degree, also from the University of Colorado, in 2011. During his time at law school, Jeff had the honor of working as a judicial extern for then-Judge Neil Gorsuch at the U.S. Court of Appeals for the Tenth Circuit.
Vice President, Practice Groups, The Federalist Society
Partner, Foley & Lardner LLP
A trial and courtroom lawyer for over 30 years, Jason A. Levine is an antitrust and commercial litigation partner in the Washington, D.C. office of Foley & Lardner LLP.
Mr. Levine has served as lead counsel for clients in high-stakes and often multi-faceted business disputes. His diverse practice focuses on antitrust, complex contractual, and business tort suits. Mr. Levine tried 14 cases to judges and juries across the country, briefed and argued dozens of dispositive motions and several precedent-setting appeals, and has had an active amicus practice before the U.S. Supreme Court for nationwide trade associations. He was also lead counsel to defendants in several of the nation’s largest antitrust class actions and MDLs. Mr. Levine has perennially been recognized as a prominent litigator by Best Lawyers, SuperLawyers, Benchmark Litigation, and Global Competition Review. He also spent nearly four years as an Investment Manager at Omni Bridgeway, a global commercial litigation finance company, where he launched and led the Washington, D.C. office and led the U.S. antitrust strategy.
Mr. Levine received his B.A. summa cum laude (Phi Beta Kappa) from Brandeis University in 1991 and his J.D. cum laude from Harvard Law School in 1994, where he was Editor-in-Chief of the Harvard Journal of Law & Public Policy. Before entering private practice, Mr. Levine was a law clerk for Judge Randall Rader on the U.S. Court of Appeals for the Federal Circuit, where he focused on the court’s Takings and administrative cases.
Attorney, Pacific Legal Foundation
Jeff McCoy is an attorney at Pacific Legal Foundation. Jeff joined PLF in 2017. Since then, he has focused his litigation on separation of powers and private property rights. Jeff also leads PLF’s coastal land rights initiative, which seeks to strengthen and defend statutory and constitutional protections for coastal property owners across the country.
Throughout his career, Jeff has worked for various organizations that promote individual liberty and limited government. Prior to joining PLF, Jeff was a staff attorney at Mountain States Legal Foundation in Lakewood, Colorado, for five years. His work at Mountain States included helping secure victory for a Wyoming private property owner in U.S. Supreme Court case Marvin M. Brandt Revocable Trust v. United States. Besides Mountain States, Jeff worked as an intern for the Cato Institute during the spring of 2008, and after his first year of law school, he worked as a Charles G. Koch Summer Fellow at the Institute for Justice’s Seattle office.
Jeff received his B.A. degree in political science and philosophy from the University of Colorado in 2007 and his law degree, also from the University of Colorado, in 2011. During his time at law school, Jeff had the honor of working as a judicial extern for then-Judge Neil Gorsuch at the U.S. Court of Appeals for the Tenth Circuit.
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