Senior Advisor, Patomak Global Partners, LLC
Kathleen Casey is a senior advisor with Patomak Global Partners. Her Patomak client work spans corporate governance issues; international regulatory developments, including interaction with U.S. policies; and technical market regulations. She has more than two decades of experience in senior government regulatory, legal and policy roles.
Ms. Casey completed her five-year term as a Commissioner with the U.S. Securities and Exchange Commission in August 2011.
During her tenure, Ms. Casey acted as the SEC’s principal representative in various international fora, including multilateral and bilateral regulatory dialogues, the G-20 Financial Stability Board, and the International Organization of Securities Commissions (IOSCO). In this capacity, she also served in several international leadership positions, including as Chairman of the IOSCO Technical Committee and Co-chair of the CPSS/IOSCO Review of Standards, the IOSCO OTC Derivatives Task Force, the IOSCO Task Force on Supervisory Cooperation, and the FSB Working Group on Provisioning.
Prior to being appointed Commissioner, Ms. Casey served in various legal and policy roles in the United States Senate. From 2003 to 2006, she served as Staff Director and Counsel of the U.S. Senate Banking, Housing, and Urban Affairs Committee. Before serving as Staff Director for the Senate Banking Committee, Ms. Casey served in a series of senior advisory roles to U.S. Senator Richard Shelby (R-AL), including Chief of Staff from 2002 to 2003 and Legislative Director from 1996 to 2002. From 1994 to 1996, Ms. Casey served as the Staff Director of the Subcommittee on Financial Institutions and Regulatory Relief on the U.S. Senate Banking Committee; and from 1993 to 1994, she served as a Legislative Assistant for tax, budget, and finance matters for Senator Richard Shelby.
Currently, Ms. Casey serves as a non-executive director on the Board of HSBC Holdings plc, and is a member of the Board of Trustees of The Pennsylvania State University and Chairman of the Board of Penn State Health. She is also a member of the Library of Congress Trust Fund Board, the Board of Trustees of the International Valuation Standards Council, and the Public Company Accounting Oversight Board Advisory Council.
Previous roles include serving as a member and Non-Executive Chairman of the Council of the Alternative Investment Management Association, a group of over 1,300 hedge fund managers, fund of hedge funds managers, prime brokers, legal and accounting firms, investors, fund administrators, and independent fund directors based in more than 50 countries worldwide; as a distinguished policy fellow with the Georgetown Center for Financial Markets and Policy at Georgetown University's McDonough School of Business; an adjunct lecturer at George Mason University School of Law; a non-executive director of FX Alliance Inc., an independent electronic foreign exchange trading platform; Vice Chairman of the Board of Trustees of the Pennsylvania State University and a member of the Board of the Milton S. Hershey Medical Center.
Ms. Casey received her J.D. from George Mason University Antonin Scalia Law School, and her B.A. in International Politics from Pennsylvania State University.
Managing Member, Aviation Perspectives LLC
Partner, Sidley Austin LLP
Alan Raul is the founder and leader of Sidley’s highly ranked Privacy, Data Security and Information Law practice. He represents companies on federal, state and international privacy and cybersecurity issues, including global data protection and compliance programs, data breaches, consumer protection issues and Internet law. Mr. Raul advises companies regarding their cybersecurity and information governance and preparedness, and helps them address crisis management for data security incidents. Mr. Raul’s practice involves litigation and counseling regarding consumer class actions and investigations, enforcement actions and policy development by the FTC, State Attorneys General, SEC, Department of Justice and other government agencies.
Mr. Raul provides clients with perspective gained from extensive government service. He previously served as Vice Chairman of the White House Privacy and Civil Liberties Oversight Board, General Counsel of the Office of Management and Budget, General Counsel of the U.S. Department of Agriculture, and Associate Counsel to the President.
Mr. Raul serves as a member of the Data Security, Privacy, and Intellectual Property Litigation Advisory Committee of the U.S. Chamber Litigation Center (affiliated with the U.S. Chamber of Commerce). He also serves ex officio on the American Bar Association’s Cybersecurity Legal Task Force by past appointment of the ABA President, and as a member of the Practicing Law Institute’s (PLI) Privacy Law Advisors Group.
Mr. Raul has represented a Special Cybersecurity Review Committee of the Board of Directors of a major tech company in connection with its independent investigation of the company’s handling of major data breaches.
In addition to leading a “Privacy and Data Security” practice nationally rated by Chambers Global and Chambers USA, Mr. Raul is ranked by Chambers in its top tier of Privacy and Data Security practitioners. Chambers USA has described Mr. Raul as a “true ‘ambassador’ for the privacy sector” who “attracts praise for his deep knowledge of the field. Interviewees stress that ‘he gives invaluable advice’ and is known to be a strong litigator. He also earns plaudits for his regulatory compliance and data protection policy expertise.” He has been named as a leading international Internet and E-Commerce Lawyer in Who’s Who Legal. Mr. Raul was also named to Ethisphere Institute’s “Attorneys Who Matter” in Data Privacy/Security, which recognizes lawyers with the highest commitment to public service, legal community engagement and academic involvement. In 2016, the Washingtonian named Mr. Raul one of Washington, DC’s Best Lawyers: Cybersecurity.
In 1991, Mr. Raul co-founded the “Lawyers Have Heart” 10K run and walk, to benefit the American Heart Association. He continues his active involvement with the event.
Staff Director & Chief Counsel for Ranking Member Gary Peters, S, United States Senate
Zachary Schram serves as Staff Director and Chief Counsel for Ranking Member Gary Peters on the Subcommittee on Federal Spending Oversight and Emergency Management in the United States Senate. From October 2015 until February 2017, Mr. Schram served as Senior Advisor and Investigations Counsel at the Department of State. Previously, he led complex bipartisan investigations as Senior Counsel to Senator Carl Levin on the Permanent Subcommittee on Investigations. Mr. Schram also spent two years as Counsel at WilmerHale representing a wide variety of clients in congressional investigations.
Partner, Cooley
Rob McDowell advises telecommunications, media and technology clients on their most significant regulatory, legal and business matters. As a former commissioner of the Federal Communications Commission (FCC) and a highly regarded industry leader, Rob has been at the forefront of the most complex and groundbreaking issues facing telecommunications.
Mr. McDowell was first appointed to the FCC by President George W. Bush in 2006 and again by President Obama in 2009. He was unanimously confirmed both times by the US Senate. During his tenure, Mr. McDowell led efforts to expand consumer access to spectrum through his work on the two largest wireless auctions in US history at the time, played a key role in the 2009 digital television transition and led efforts to establish the first federal civil rights rule in a generation by creating a ban on racially discriminatory practices in broadcast advertising. He also worked extensively on several large and complex mergers, including Sirius/XM and Comcast/NBC-Universal.
He is an advocate for internet freedom, serving on the US delegation to the 2012 World Conference on International Telecommunications and exposing an international bid to regulate vital aspects of the Internet through multilateral treaty-based organizations. Mr. McDowell authored an op-ed in the Wall Street Journal opposing multilateral internet regulation that led to a resolution passed unanimously in the House and Senate, as well as the ultimate defeat of the international bid at a treaty negation in Dubai later that year.
Prior to the FCC, Mr. McDowell was senior vice president for CompTel, the Competitive Telecommunications Association, where he led advocacy efforts before several government agencies, the White House and Congress.
Mr. McDowell is often called upon for speaking engagements and frequently appears on TV and radio. He has written opinion pieces for many high-profile publications, including the Wall Street Journal and Washington Post.
Managing Member, Aviation Perspectives LLC
U.S. Court of Appeals, D.C. Circuit
Judge Williams practiced law in New York City (at the firm of Debevoise Plimpton and as an Assistant U.S. Attorney) and then taught law at the University of Colorado Law School from 1969 to 1986, with visiting years at UCLA, SMU, and the University of Chicago (where he was also a fellow in law and economics). He was appointed to the U.S. Court of Appeals for the D.C. Circuit in 1986. His most recent book is a biography of Vasily Maklakov, The Reformer: How One Liberal Fought to Preempt the Russian Revolution (Encounter Books, 2017).
Senior Advisor, Patomak Global Partners, LLC
Kathleen Casey is a senior advisor with Patomak Global Partners. Her Patomak client work spans corporate governance issues; international regulatory developments, including interaction with U.S. policies; and technical market regulations. She has more than two decades of experience in senior government regulatory, legal and policy roles.
Ms. Casey completed her five-year term as a Commissioner with the U.S. Securities and Exchange Commission in August 2011.
During her tenure, Ms. Casey acted as the SEC’s principal representative in various international fora, including multilateral and bilateral regulatory dialogues, the G-20 Financial Stability Board, and the International Organization of Securities Commissions (IOSCO). In this capacity, she also served in several international leadership positions, including as Chairman of the IOSCO Technical Committee and Co-chair of the CPSS/IOSCO Review of Standards, the IOSCO OTC Derivatives Task Force, the IOSCO Task Force on Supervisory Cooperation, and the FSB Working Group on Provisioning.
Prior to being appointed Commissioner, Ms. Casey served in various legal and policy roles in the United States Senate. From 2003 to 2006, she served as Staff Director and Counsel of the U.S. Senate Banking, Housing, and Urban Affairs Committee. Before serving as Staff Director for the Senate Banking Committee, Ms. Casey served in a series of senior advisory roles to U.S. Senator Richard Shelby (R-AL), including Chief of Staff from 2002 to 2003 and Legislative Director from 1996 to 2002. From 1994 to 1996, Ms. Casey served as the Staff Director of the Subcommittee on Financial Institutions and Regulatory Relief on the U.S. Senate Banking Committee; and from 1993 to 1994, she served as a Legislative Assistant for tax, budget, and finance matters for Senator Richard Shelby.
Currently, Ms. Casey serves as a non-executive director on the Board of HSBC Holdings plc, and is a member of the Board of Trustees of The Pennsylvania State University and Chairman of the Board of Penn State Health. She is also a member of the Library of Congress Trust Fund Board, the Board of Trustees of the International Valuation Standards Council, and the Public Company Accounting Oversight Board Advisory Council.
Previous roles include serving as a member and Non-Executive Chairman of the Council of the Alternative Investment Management Association, a group of over 1,300 hedge fund managers, fund of hedge funds managers, prime brokers, legal and accounting firms, investors, fund administrators, and independent fund directors based in more than 50 countries worldwide; as a distinguished policy fellow with the Georgetown Center for Financial Markets and Policy at Georgetown University's McDonough School of Business; an adjunct lecturer at George Mason University School of Law; a non-executive director of FX Alliance Inc., an independent electronic foreign exchange trading platform; Vice Chairman of the Board of Trustees of the Pennsylvania State University and a member of the Board of the Milton S. Hershey Medical Center.
Ms. Casey received her J.D. from George Mason University Antonin Scalia Law School, and her B.A. in International Politics from Pennsylvania State University.
Managing Member, Aviation Perspectives LLC
Partner, Sidley Austin LLP
Alan Raul is the founder and leader of Sidley’s highly ranked Privacy, Data Security and Information Law practice. He represents companies on federal, state and international privacy and cybersecurity issues, including global data protection and compliance programs, data breaches, consumer protection issues and Internet law. Mr. Raul advises companies regarding their cybersecurity and information governance and preparedness, and helps them address crisis management for data security incidents. Mr. Raul’s practice involves litigation and counseling regarding consumer class actions and investigations, enforcement actions and policy development by the FTC, State Attorneys General, SEC, Department of Justice and other government agencies.
Mr. Raul provides clients with perspective gained from extensive government service. He previously served as Vice Chairman of the White House Privacy and Civil Liberties Oversight Board, General Counsel of the Office of Management and Budget, General Counsel of the U.S. Department of Agriculture, and Associate Counsel to the President.
Mr. Raul serves as a member of the Data Security, Privacy, and Intellectual Property Litigation Advisory Committee of the U.S. Chamber Litigation Center (affiliated with the U.S. Chamber of Commerce). He also serves ex officio on the American Bar Association’s Cybersecurity Legal Task Force by past appointment of the ABA President, and as a member of the Practicing Law Institute’s (PLI) Privacy Law Advisors Group.
Mr. Raul has represented a Special Cybersecurity Review Committee of the Board of Directors of a major tech company in connection with its independent investigation of the company’s handling of major data breaches.
In addition to leading a “Privacy and Data Security” practice nationally rated by Chambers Global and Chambers USA, Mr. Raul is ranked by Chambers in its top tier of Privacy and Data Security practitioners. Chambers USA has described Mr. Raul as a “true ‘ambassador’ for the privacy sector” who “attracts praise for his deep knowledge of the field. Interviewees stress that ‘he gives invaluable advice’ and is known to be a strong litigator. He also earns plaudits for his regulatory compliance and data protection policy expertise.” He has been named as a leading international Internet and E-Commerce Lawyer in Who’s Who Legal. Mr. Raul was also named to Ethisphere Institute’s “Attorneys Who Matter” in Data Privacy/Security, which recognizes lawyers with the highest commitment to public service, legal community engagement and academic involvement. In 2016, the Washingtonian named Mr. Raul one of Washington, DC’s Best Lawyers: Cybersecurity.
In 1991, Mr. Raul co-founded the “Lawyers Have Heart” 10K run and walk, to benefit the American Heart Association. He continues his active involvement with the event.
Staff Director & Chief Counsel for Ranking Member Gary Peters, S, United States Senate
Zachary Schram serves as Staff Director and Chief Counsel for Ranking Member Gary Peters on the Subcommittee on Federal Spending Oversight and Emergency Management in the United States Senate. From October 2015 until February 2017, Mr. Schram served as Senior Advisor and Investigations Counsel at the Department of State. Previously, he led complex bipartisan investigations as Senior Counsel to Senator Carl Levin on the Permanent Subcommittee on Investigations. Mr. Schram also spent two years as Counsel at WilmerHale representing a wide variety of clients in congressional investigations.
Professor, Cumberland School of Law, Samford University
Michael DeBow joined the Cumberland faculty in 1988. He regularly teaches courses in Property, Business Organizations, Administrative Law, Legislation, and Local Government.
Professor DeBow is a native of Tupelo, Mississippi. He received his bachelor's and master's degrees in economics from the University of Alabama (1976, 1978). He graduated from the Yale Law School in 1980, and is a member of the District of Columbia Bar.
DeBow's career included a stint in private practice in Washington, D.C., followed by a judicial clerkship with Judge Kenneth W. Starr of the U.S. Court of Appeals for the D.C. Circuit in 1983-84. DeBow then served as an attorney-advisor to Federal Trade Commission chairman James C. Miller III (1984-85), and a special assistant to Assistant Attorney General Douglas Ginsburg, in the Antitrust Division of the U.S. Department of Justice (1985-86). He began his teaching career at the University of Georgia business school, where he taught for two years prior to coming to Samford.
From 2000 to 2004, DeBow also acted in a part-time capacity as special assistant for legal policy to Alabama attorney general Bill Pryor. He was a visiting professor of law at George Mason University in 1999. He was a (nonresident) Salvatori Fellow of The Heritage Foundation during 1993-95, and a member of the executive committee of the Association of Private Enterprise Education during 1995-99. DeBow attended summer institutes in quantitative methods for law professors (George Mason Law & Economics Center, 1990), Austrian economics (NYU Department of Economics, 1997), and the study of freedom (Templeton Foundation Freedom Project, 2000). In 2008 he was named an Adjunct Fellow of the Alabama Policy Institute.
Professor DeBow has taught several undergraduate courses at Samford, including one which received a supporting grant from the John Templeton Foundation. Most recently, he taught an undergraduate course in law and economics for the Samford's Brock School of Business. He has also taught public health law for the UAB School of Public Health on several occasions.
DeBow's articles have appeared in such journals as the Texas Law Review, Harvard Journal of Law & Public Policy, Regulation, Policy Review, The Freeman, and the Journal of Law & Politics. He co-edits the Federalist Society's Pre-Law Reading List and its annotated bibliography of conservative and libertarian legal scholarship.
President, Cass & Associates, PC
Ronald A. Cass is Dean Emeritus of Boston University School of Law (where he was Dean from 1990-2004), President of Cass & Associates, PC, former Vice-Chairman and Commissioner of the U.S. International Trade Commission, former faculty member at Boston University School of Law and the University of Virginia Law School, and Distinguished Senior Fellow at the C. Boyden Gray Center for the Study of the Administrative State. Dean Cass also sits as an arbitrator for commercial, international, and intellectual property rights disputes, and is a former United States member of the Panel of Conciliators of the International Centre for Settlement of Investment Disputes. He is a member of the Council of the Administrative Conference of the United States and has received seven presidential appointments, spanning Presidents Ronald Reagan to Donald J. Trump.
As a law professor, lecturer, and scholar, Dean Cass has been teaching and writing about a wide array of legal issues on topics such as administrative law and regulation, antitrust, constitutional law, communications, intellectual property, international trade, separation of powers, and legal process. He has published more than 160 scholarly books, chapters, articles, and papers, including a leading casebook on administrative law. Dean Cass has taught judges as well as students in schools of law, economics, business, and public policy and has held academic appointments in the United States, Europe, and Latin America.
In addition to his academic work, Dean Cass has participated in numerous important legal cases as an amicus, consultant, or expert, and has advised businesses, law firms, investment funds, and government agencies on a range of trade, antitrust, intellectual property, and regulatory issues. He has a broad range of affiliations with professional groups, and has received numerous honors, fellowships and awards.
Dean Cass is a graduate of the University of Virginia and the University of Chicago Law School.
Stevenson Bernard Professor, George Washington University Law School
The Honorable F. Scott Kieff is the Stevenson Bernard Professor at George Washington University Law School and a Visiting Fellow at Stanford University’s Hoover Institution.
He served as Commissioner of the U.S. International Trade Commission from 2013-2017. He also served during the Bush, Obama, and Trump Administrations in the part-time leadership of the national security defense-intelligence community.
He was previously a professor of law and medicine at Washington University in Saint Louis and a Senior Fellow at Hoover. A former law clerk to U.S. Circuit Judge Giles S. Rich, he is a graduate of Penn Law School and MIT, where he studied molecular biology and microeconomics. He was elected to the European Academy of Sciences and Arts in 2012 and the Academia Europaea in 2024.
His private sector work through Kieff Strategies LLC (www.kieffstrategies.com) provides neutral services including mediation and compliance, and expert services including crisis management, advising, and testimony.
Managing Member, Aviation Perspectives LLC
Partner, Rule Garza Howley LLP
Rick began his career in the 1980s in the Antitrust Division of the U.S. Department of Justice, becoming the Assistant Attorney General in charge of the Division from 1986-89 – the youngest person ever to be confirmed by the Senate to that position. Over the last 30+ years since leaving the Division, Rick has led the antitrust practices at several leading D.C. and New York firms including Covington & Burling and Paul, Weiss.
During his time in private practice, Rick has represented major multi-national companies and executives in virtually every industry – from, among others, agricultural and animal health (Monsanto, Elanco) to energy (ExxonMobil) to defense contractors (Northrop Grumman, United Technologies) to professional sports (NFL, NBA, MLB) to technology platforms (Microsoft, Nuance) to pharmaceutical manufacturers (Eli Lilly, Pfizer) to health insurers (Cigna). (For a complete list of industry experience, click here.)
Rick has represented his clients before the Antitrust Division, the Federal Trade Commission, State Attorneys General and major foreign antitrust regulators in connection with many of the most notable merger investigations, including Exxon’s merger with Mobil, US Airways’ merger with American Airlines, and Cigna’s acquisition of Express Scripts. At the same time, Rick has represented clients in some of most prominent government investigations of the last quarter century, including leading the team that settled the Government’s monopolization case against Microsoft and defending international companies and executives in major antitrust criminal investigations.
For four decades, Rick has been at the forefront of antitrust law and is uniquely capable of advising clients on the antitrust regulatory environment affecting the way they do business globally. As agencies and rules have evolved, he has helped clients to understand the dynamic legal framework, to assess the legal risk and rewards associated with a range of competitive strategies, and to work with government bodies to take advantage of, and ensure appropriate compliance with, the regulations governing the clients’ chosen strategy.
Partner, Drinker Biddle & Reath LLP
Robert A. Skitol is a senior partner in the Antitrust Team within the firm's Commercial Litigation Practice Group. He has over 35 years' experience in all facets of antitrust and trade regulation. He has litigated major antitrust cases, guided numerous mergers, acquisitions, and joint ventures through intensive antitrust reviews at the FTC and the U.S. Department of Justice and coordinated multinational antitrust reviews of several major transnational transactions. He has represented clients in both FTC and Department of Justice antitrust investigations, and has provided in-depth counseling with regard to antitrust and related ramifications of proposed collaborations, distribution and pricing arrangements.
Major clients that Bob has represented include Hewlett-Packard Company, Agilent Technologies, Inc., ABB Inc., James Hardie Industries, Philips Medical Systems, The Stroh Brewery Company, Schindler Elevator Corporation, Susquehanna Broadcasting Company and the VITA Standards Organization. He served as a special consultant on competition policy to the Government of Jamaica, and participated in drafting the Jamaica Competition Act.
Bob received his undergraduate degree magna cum laude from Hobart College in 1967 and graduated from New York University Law School in 1970 Order of the Coif. He has written and lectured extensively in the antitrust and trade regulation field. He co-authored the book titled Mergers in the New Antitrust Era, published 1985, contributed to Business Opportunities in the United States, 1991, and founded and co-edited International Merger Law, a monthly journal. He has been a frequent contributor of articles to the ABA Antitrust Law Journal, the ABA Antitrust Source and other publications. He is a member of the ABA Section of Antitrust Law (past co-chair of the Computer Industry Committee), the DC Bar Antitrust and Trade Regulation Committee (past chairman), and a member of the board of directors of The American Antitrust Institute.
Partner, Cooley
Rob McDowell advises telecommunications, media and technology clients on their most significant regulatory, legal and business matters. As a former commissioner of the Federal Communications Commission (FCC) and a highly regarded industry leader, Rob has been at the forefront of the most complex and groundbreaking issues facing telecommunications.
Mr. McDowell was first appointed to the FCC by President George W. Bush in 2006 and again by President Obama in 2009. He was unanimously confirmed both times by the US Senate. During his tenure, Mr. McDowell led efforts to expand consumer access to spectrum through his work on the two largest wireless auctions in US history at the time, played a key role in the 2009 digital television transition and led efforts to establish the first federal civil rights rule in a generation by creating a ban on racially discriminatory practices in broadcast advertising. He also worked extensively on several large and complex mergers, including Sirius/XM and Comcast/NBC-Universal.
He is an advocate for internet freedom, serving on the US delegation to the 2012 World Conference on International Telecommunications and exposing an international bid to regulate vital aspects of the Internet through multilateral treaty-based organizations. Mr. McDowell authored an op-ed in the Wall Street Journal opposing multilateral internet regulation that led to a resolution passed unanimously in the House and Senate, as well as the ultimate defeat of the international bid at a treaty negation in Dubai later that year.
Prior to the FCC, Mr. McDowell was senior vice president for CompTel, the Competitive Telecommunications Association, where he led advocacy efforts before several government agencies, the White House and Congress.
Mr. McDowell is often called upon for speaking engagements and frequently appears on TV and radio. He has written opinion pieces for many high-profile publications, including the Wall Street Journal and Washington Post.
Managing Member, Aviation Perspectives LLC
U.S. Court of Appeals, D.C. Circuit
Judge Williams practiced law in New York City (at the firm of Debevoise Plimpton and as an Assistant U.S. Attorney) and then taught law at the University of Colorado Law School from 1969 to 1986, with visiting years at UCLA, SMU, and the University of Chicago (where he was also a fellow in law and economics). He was appointed to the U.S. Court of Appeals for the D.C. Circuit in 1986. His most recent book is a biography of Vasily Maklakov, The Reformer: How One Liberal Fought to Preempt the Russian Revolution (Encounter Books, 2017).
Influence of Individual Members of Congress on Agencies
Kathleen Casey, James T. Miller, Alan C. Raul, Zachary Schram
The Fifth Annual Executive Branch Review Conference will examine the changing and often convoluted relationship...
Influence of Individual Members of Congress on Agencies
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Washington, DCThe Strange Death of Socialist Legal Theory
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Corporations, Securities, and Antitrust Practice Group
Washington, DCThe Regulatory State and American Technology
David A. Gross, Roy E. Hoffinger, Robert M. McDowell, James T. Miller, Stephen F. Williams
The Federalist Society's Telecommunications Practice Group presented this panel discussion at the 2007 Annual National...
The Regulatory State and American Technology
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Washington, DCA Real Contribution to the Campaign Finance Debate: A Review of James C. Miller's Monopoly Politics
Andrew Siff
Monopoly PoliticsBy James C. Miller III.Published by Hoover Press 1999. Paperback, 147 pages. Proponents of campaign...