Partner, Womble Bond Dickinson
Britt Whitesell Biles is a trial lawyer and a partner in the Business Litigation Group. Resident in the firm’s Washington, D.C. office, Britt has extensive experience at the highest levels of the federal government, having served in senior legal roles at the U.S. Securities and Exchange Commission (SEC), the White House, and the U.S. Small Business Administration (SBA). She has nearly two decades of experience representing and advising clients in high-stakes government investigations and bet-the-company litigation.
Most recently, Britt served as the General Counsel of the SBA. She was appointed in 2020 to manage the immense and unprecedented legal needs that arose from the SBA’s role as a lead agency in the federal government’s economic response to COVID-19; the Agency was under intense pressure to implement and administer trillion-dollar loan and grant programs established by the CARES Act and faced unparalleled levels of scrutiny from Congress, the media, and the public. As the SBA’s chief legal officer and third-highest-ranking official, Britt led the SBA’s legal function, managing 140 lawyers and staff across the country.
Britt was the principal legal advisor to the Administrator on the CARES Act and related legislation. She supervised the drafting of regulations and guidance that implemented the Paycheck Protection Program and designed key aspects of the loan review and forgiveness process. She worked closely with senior officials across the federal government to establish data-sharing and cooperation agreements to facilitate the investigation and prosecution of fraud and abuse in the COVID-19 loan and grant programs. Britt oversaw the litigation of cases arising under the CARES Act and devised the SBA’s strategy for responding to oversight, audits, and inquiries. She regularly counseled senior Agency officials in connection with Congressional testimony and briefings, including before the House Committee on Oversight and Reform, the House and Senate Small Business Committees, the House Financial Services Committee, and the House Select Subcommittee on the Coronavirus Crisis. In addition to acting as a legal advisor, Britt performed a crisis management role, advising the SBA on its communications strategy and engagement with external stakeholders. Britt, along with her staff in the Office of General Counsel, received the 2020 Administrator’s Award for Outstanding Achievement.
Before she was appointed General Counsel of the SBA, Britt served as a Special Assistant to the President and Associate White House Counsel. During her tenure at the White House, she provided legal advice on financial regulation and reform, consumer protection, privacy, transportation, and congressional oversight matters. She also was the White House’s legal liaison to the Departments of Treasury, Transportation, and Housing and Urban Development, as well as independent financial services and consumer protection agencies, including the SEC, the Federal Trade Commission (FTC), and the Consumer Financial Protection Bureau.
Britt also recently held a senior enforcement position at the SEC. As Assistant Chief Litigation Counsel, she investigated and litigated securities matters involving insider trading, cybersecurity, accounting and disclosure fraud, registered and unregistered securities offerings, market abuses, the Foreign Corrupt Practices Act, broker-dealers, investment advisors, and other regulated entities. Her cases involved millions of dollars in civil monetary penalties and disgorgement. She routinely worked with the Federal Bureau of Investigation, the Department of Justice (DOJ), and U.S. Attorneys’ Offices on parallel criminal proceedings. Britt also worked with international authorities, handling significant cross-border enforcement actions involving China, Macau, India, and Eastern Europe.
During her time at the SEC, Britt investigated and litigated many of the Commission’s most significant cases. In 2017, she received the Chairman’s Award for Excellence for leading the litigation in SEC v. Hong, a ground-breaking case in which Chinese nationals were charged with insider trading in connection with a cyber-attack on two New York law firms. The case received international attention because it demonstrated the reach of the SEC’s enforcement program as the SEC recovered illegal trading profits from foreign defendants who lived abroad and carried out their illegal scheme without entering the United States. Britt also twice received the Division of Enforcement Director’s Award for making outstanding contributions to the enforcement of the federal securities laws — in 2015, for her work on an $80-million-variable-annuity-fraud case, and again in 2016, for her work on a conflict-of-interest case against one of the world’s largest asset managers and its chief compliance officer.
In addition to serving in senior legal roles in the federal government, Britt was a partner at a global law firm and a Washington, D.C. litigation boutique. She represented high-profile individuals and public and private companies in the financial services, healthcare, pharmaceutical, defense, communications, government contracting, technology, manufacturing, and entertainment industries. She defended clients in investigations and enforcement matters by Congress, the DOJ, the SEC, the FTC, the Federal Deposit Insurance Corporation, and various state attorneys general. She also represented clients in commercial litigation, including securities, contract, cybersecurity, data privacy, defamation, consumer protection, unfair competition, professional liability, environmental, and product liability cases. An experienced trial lawyer, Britt litigated in state and federal courts nationwide. She presented cases to arbitrators and mediators. Britt also was a lecturing fellow at Duke University School of Law, teaching a course on electronic discovery.
Britt began her law career as a federal appellate clerk for the Honorable Julia Smith Gibbons on the U.S. Court of Appeals for the Sixth Circuit, after graduating magna cum laude from Duke University School of Law and being elected to the Order of the Coif.
Partner, Womble Bond Dickinson
Luke Cass defends corporations and individuals in connection with a variety of federal criminal allegations, including health care fraud, conspiracy, mail and wire fraud, embezzlement, bank fraud, and money laundering. He also conducts proactive, internal investigations related to bribery, misbranding, and the Foreign Corrupt Practices Act (FCPA). Luke served as a federal prosecutor for over a decade and has significant experience with white collar investigations and has litigated federal appellate and district court cases throughout the United States.
Previously, Luke worked as a Senior Trial Attorney with the Public Integrity Section of the U.S. Department of Justice’s Criminal Division where he handled public corruption investigations and prosecutions of elected, appointed, and career government officials. Luke served as an Assistant United States Attorney in the Financial Fraud and Corruption Unit of the U.S. Attorney’s Office for the District of Puerto Rico before working at the DOJ in Washington. In addition to Luke's extensive federal trial experience, he has also briefed and argued numerous appeals before the U.S. Court of Appeals for the First Circuit. He also clerked in the United States District Court for the Eastern District of New York.
As a result of his experience, Luke is well qualified to counsel clients in nearly every aspect of complex white collar matters involving both the public and private sectors.
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.
Judge, U.S. Court of International Trade
M. Miller Baker was appointed as a Judge of the United States Court of International Trade on December 18, 2019, by President Donald J. Trump. Judge Baker entered on duty on December 20, 2019.
A native of Terrebonne Parish, Louisiana, Judge Baker grew up in Louisiana and Wyoming and attended Louisiana State University. Judge Baker thereafter earned his J.D. from Tulane University Law School and was admitted to the Louisiana bar in 1984 at age 22. After graduating from Tulane, he served as a law clerk to Judge John Malcolm Duhé, Jr., of the United States District Court for the Western District of Louisiana and then for Judge Thomas Gibbs Gee of the United States Court of Appeals for the Fifth Circuit. Following his judicial clerkships, from 1986 until the end of the Reagan Administration on January 20, 1989, Judge Baker served in the Justice Department under Attorneys General Edwin Meese III and Richard Thornburgh, first as an attorney-advisor in the Office of Legal Policy, and later as a special assistant to the Assistant Attorney General for Civil Rights. Judge Baker then entered private practice in Washington, D.C., until 1991. From 1991 to 1993 he served as counsel to Senator Orrin G. Hatch on the staff of the Senate Judiciary Committee.
Following his service on the Judiciary Committee staff, Judge Baker returned to private practice in Washington, D.C., focusing on complex civil litigation involving a wide range of subjects at the law firms of Carr Goodson Warner (1993–2000) and McDermott Will & Emery LLP (2000–2019). At McDermott, Judge Baker co-chaired the firm’s appellate practice group.
When he was in private practice, Judge Baker argued before the Supreme Court, nine of the thirteen federal courts of appeals, and appellate courts in three states and the District of Columbia. In 2009, The American Lawyer named Judge Baker as “Litigator of the Week” for one of his Supreme Court wins. In addition to his appellate practice, Judge Baker litigated in state and federal trial courts in seventeen states and the District of Columbia.
From 1986 to 1995, Judge Baker served as a naval reserve intelligence officer and received an honorable discharge. His duties included serving with an anti-terrorist unit, on the battle staff of an admiral commanding a carrier battle group operating in the North Atlantic during a large NATO exercise in the Cold War, and as a watch officer in the Navy Command Center in the Pentagon during the Persian Gulf War.
In the aftermath of 9/11, Judge Baker testified before the House and Senate Judiciary Committees on constitutional and policy issues associated with continuity of government. He also testified before the Continuity of Government Commission, a bipartisan study commission established by the American Enterprise Institute and the Brookings Institution.
Judge Baker and his wife Margaret have five children, two of whom are active duty military officers.
Adjunct Senior Fellow, Indo-Pacific Security Program, Center for New American Security; Senior Advisor, Krach Institute for Tech Diplomacy, Purdue University
Throughout her career in foreign policy, Ambassador Kelley E. Currie has specialized in human rights, political reform, development, and humanitarian issues, with a focus on the Indo-Pacific region. Ambassador Currie is currently an Adjunct Senior Fellow at the Center for a New American Security, a Washington D.C. think tank, and a Senior Advisor to the Krach Institute for Tech Diplomacy at Purdue University. She is a member of the board of directors of the National Endowment for Democray; the board of governors of the East-West Center; and the advisory boards of Spirit of America and the Vandenberg Coalition.
Ambassador Currie was unanimously confirmed in December 2019 as Ambassador-at-Large for Global Women's Issues and the U.S. Representative at the United Nations Commission on the Status of Women and served in that position until January 2021. Prior to that appointment, she served under Ambassador Nikki Haley as the U.S. Representative to the UN Economic and Social Council and Alternative Representative to the UN General Assembly (2017-2018). While awaiting confirmation between ambassadorial appointments, she was appointed interim senior official in the Department of State's Office of Global Criminal Justice. From 2009 until her appointment to the USUN leadership, she was a Senior Fellow with the Project 2049 Institute and the founding Director of the Institute's Burma Transition Initiative. Ambassador Currie also held senior policy positions with the U.S. Congress, international organizatons, and non-governmental organizations.
Ambassador Currie received a Juris Doctor from Georgetown University Law Center with a focus on International Human Rights Law, and an undergraduate degree cum laude in Political Science from the University of Georgia's School of Public and International Affairs.
Partner, Zeughauser Group
Alex Dimitrief is a C-suite leader who has steered various global businesses through complex commercial, legal and organizational challenges. He is presently a Partner at Zeughauser Group, where he advises legal departments and law firms on a broad variety of strategic issue. He serves as a director of Eos Energy Enterprises (NASDAQ) and an Advisory Board member at Ethisphere and Cresset. He previously served as a director of Synchrony Financial (NYSE) and We Company. Alex teaches a new class at Harvard Law School on the “Corporation as a Citizen” and corporate law at New York Law School.
As President & CEO of General Electric’s Global Growth Organization, Alex was responsible for driving GE’s growth in 180+ countries. On Alex’s watch in 2018, GE landed $76 billion in international orders and secured billions in financing for many of GE’s emerging market customers. As GE’s General Counsel from 2015 - 2018, Alex served as the principal executive advisor to GE’s Board and led a global team of 5,000+ responsible for GE’s legal matters, compliance, SEC reporting, government affairs and environmental safety programs. In previous roles at GE, Alex was a leader of the transformation of GE Capital (including the IPO/split-off of Synchrony Financial) and spearheaded complex joint venture negotiations for GE Energy in China and Russia. In announcing Alex’s retirement from GE in January 2019, CEO Larry Culp described Alex as “one of the most respected leaders at GE” who “effectively represented GE before governments, regulators and customers throughout the world and is widely recognized as a compelling champion of integrity, transparency and the rule of law.”
Alex came to GE after 20 years as a trial lawyer at Kirkland & Ellis LLP, where he represented a broad variety of clients in securities, restructuring, intellectual property, product liability, environmental, governance and commercial disputes. Alex earned his B.A. from Yale College and his J.D. from Harvard Law School. He was selected out of law school as the youngest-ever White house Fellow and began his career in the Reagan Administration’s Office of Political and Intergovernmental Affairs
Senior Fellow - Foreign Policy, Global Economy and Development, John L. Thornton China Center, Brookings Institute
David Dollar is a senior fellow in the John L. Thornton China Center at the Brookings Institution and host of the Brookings trade podcast, Dollar&Sense. He is a leading expert on China's economy and U.S.-China economic relations. From 2009 to 2013, Dollar was the U.S. Treasury’s economic and financial emissary to China, based in Beijing, facilitating the macroeconomic and financial policy dialogue between the United States and China. Prior to joining Treasury, Dollar worked 20 years for the World Bank, serving as country director for China and Mongolia, based in Beijing (2004-2009). His other World Bank assignments focused on Asian economies, including South Korea, Vietnam, Cambodia, Thailand, Bangladesh, and India. Dollar also worked in the World Bank’s research department. His publications focus on economic reform in China, globalization, and economic growth. He also taught economics at University of California Los Angeles, during which time he spent a semester in Beijing at the Graduate School of the Chinese Academy of Social Sciences in 1986. He has a doctorate in economics from New York University and a bachelor's in Chinese history and language from Dartmouth College.
Senior Associate, Freeman Chair in China Studies, Center for Strategic & International Studies
From March 2018 to July 2021, Ivan Kanapathy served on the White House’s National Security Council staff as director for China, Taiwan, and Mongolia and deputy senior director for Asian affairs. In this capacity, he staffed and advised the president and national security advisor and led U.S. government interagency policy development and implementation on relations and engagement with China and Taiwan—including shepherding the most comprehensive and significant U.S. policy shift toward the People’s Republic of China in four decades. From 2014 to 2017, Ivan worked at the American Institute in Taiwan, representing U.S. interests and advising on military and security issues in Taipei. Earlier in his career, Ivan spent a year studying in Beijing and traveling throughout China, Taiwan, and Southeast Asia as a U.S. Marine Corps foreign area study fellow; he later led the development and implementation of the service’s global security cooperation strategy and policies at the Pentagon. As a naval flight officer, Ivan accumulated 2,500 flight hours, served three years as a F/A-18 weapons officer and tactics instructor at the U.S Navy Fighter Weapons School (better known as TOPGUN), and deployed to the Middle East and Western Pacific five times, earning several combat awards and decorations. He holds a MA (with distinction) in East Asia security studies from the Naval Postgraduate School, a BS in physics and economics from Carnegie Mellon University, and an AA and diploma (with highest honors) in Chinese – Mandarin from the Defense Language Institute.
Fellow, Ethics and Public Policy Center
Rachel N. Morrison is an attorney and Fellow at the Ethics and Public Policy Center, where she directs EPPC’s Administrative State Accountability Project. Her legal and policy work focuses on religious liberty, health care rights of conscience, the right to life, nondiscrimination, and civil rights.
Before joining EPPC, Ms. Morrison served as an Attorney Advisor and Special Assistant to General Counsel Sharon Fast Gustafson at the Equal Employment Opportunity Commission (EEOC), where she focused on religious discrimination issues and was a member of the General Counsel’s Religious Discrimination Work Group. Before that, she served as Litigation Counsel for Americans United for Life and as a Constitutional Law Fellow at the Becket Fund for Religious Liberty, defending the right to life and religious freedom for all. She also clerked on the U.S. Court of Federal Claims.
Ms. Morrison’s legal analysis has been published in the Seton Hall Law Review, the Pepperdine Law Review, and the Ave Maria Law Review, as well as various other print media outlets.
Ms. Morrison earned her J.D., magna cum laude, from the Pepperdine University School of Law, where she was elected to the Order of the Coif and served as an editor for the Pepperdine Law Review and the Harvard Journal of Law & Public Policy. She received her B.A. in Mathematics and Speech Communication, summa cum laude, from Whitworth University (Spokane, WA). She is a member of the District of Columbia and the Washington State bars.
Ms. Morrison lives with her husband and daughter in Virginia.
Professor of History, East Stroudsburg University
Dr. Brooks is currently professor of history at East Stroudsburg University, where he teaches several courses, including African Americans and the Courts and US Constitutional History and Law and other courses in legal history. Further to his work at ESU, he is also a founding member and vice president of the Harrisburg lawyers' chapter of the Federalist Society.
Professor Brooks received his BA and MA in US History from East Stroudsburg University of Pennsylvania. He then received a Rotary Ambassadorial Scholarship to Edinburgh University (Scotland), where he studied British influences on the US judiciary. He completed his doctoral work at Kassel University (Germany). There he worked on the international “Modern Constitutionalism” project, editing and translating constitutions from German to English and English to German. His doctoral work there focused in particular on eleventh amendment sovereignty issues and law during the US founding era.
While in Germany, Prof. Brooks was an active member of the Center for North American Research, where he focused on constitutional and legal history, especially as it pertained to jurisprudential matters. He ran a solo business where he trained attorneys in several mid- to large-sized German and international law firms in legal English and communication. Prof. Brooks also did legal translation for many firms and for Germany’s Federal Constitutional Court, that nation’s highest court. Two books resulting from his work there include German Employment Law: 618 Questions Frequently Asked by Foreigners (2014) and Expats in Germany - Inbound and Outbound: Questions Frequently Asked by Foreigners (2017).
Current areas of research include state appellate judicial selection reform, early black attorneys, and comparative employment law.
Dr. Brooks has also written extensively Real Clear Politics, Real Clear Pennsylvania, and Allentown’s The Morning Call. His work has also appeared in New York Daily News, Los Angeles Times, Chicago Tribune, and The Hill.
Legislative and Policy Director, FIRE
Joe Cohn serves as director of FIRE’s Legislative and Policy department, overseeing a team of attorneys and staff tasked with monitoring and engaging on legislation and regulatory matters. Under his leadership, FIRE has secured numerous victories for free speech and due process at the state and federal level.
Joe is a 2004 graduate of the University of Pennsylvania Law School and the Fels Institute of Government Administration, where he earned his Juris Doctor and master’s degree in Government Administration. In 2000, he graduated with distinction from the University of Nevada at Las Vegas, where he co-founded the student chapter of the ACLU. A former staff attorney for the United States Court of Appeals for the Third Circuit and law clerk in the Philadelphia Court of Common Pleas, Joe joined FIRE in 2012 with a career-long dedication to advancing the cause of civil liberties, including through his service as a staff attorney at the AIDS Law Project of Pennsylvania where he provided legal services to underserved communities. His awards include accolades from The Legal Intelligencer and Pennsylvania Law Weekly, who named him a 2007 “Lawyer on the Fast Track,” and from Super Lawyers magazine, who named him a “Rising Star” in 2008.
Joe’s career also includes teaching at University of Pennsylvania Law School’s Gittis Civil Practice Clinic in 2010, where he lectured on good trial practices and supervised law students as they represented real clients in both state and federal courts. Just prior to joining FIRE, Joe served as the interim legal director for ACLU affiliates in Nevada and Utah.
As legislative and policy director, Joe spearheads FIRE’s advocacy at all levels of government. He has testified before Congress and in state legislatures across the country and has drafted numerous bills that have been enacted into state law. He regularly comments on FIRE’s issues in the media.
Counsel, Consovoy McCarthy PLLC
Ms. Meehan represents clients in all phases of litigation, with a focus on constitutional litigation and appellate matters. She has assisted clients on a broad range of matters, including those involving constitutional issues, the interpretation of federal statutes and regulations, contractual disputes and other complex commercial issues.
Ms. Meehan has served as a court-appointed amicus curiae for the Eleventh Circuit Court of Appeals in an en banc appeal involving the federal habeas statute. She has successfully petitioned the Seventh Circuit to halt the deposition of a high-ranking public official, and she has served as trial counsel in related redistricting litigation. Previously, Ms. Meehan was a partner at Bartlit Beck, where she served as trial and appellate counsel for a variety of complex commercial disputes, patent disputes, and cases involving constitutional claims.
Ms. Meehan is a former law clerk to Justice Antonin Scalia and Justice Clarence Thomas of the U.S. Supreme Court and Judge William H. Pryor Jr. of the U.S. Court of Appeals for the Eleventh Circuit. She graduated with high honors from the University of Chicago Law School, where she was selected for Order of the Coif and served as Managing Editor of the Law Review. Ms. Meehan is also a graduate, summa cum laude, from the University of Missouri School of Journalism. Ms. Meehan is located in Illinois and is a member of the Illinois and District of Columbia bars. Her application to the Virginia bar is pending.
Legal Fellow, Center for the Separation of Powers, Pacific Legal Foundation
Alison Somin joined Pacific Legal Foundation in May 2020 as a legal fellow in the Center for the Separation of Powers and part of the equality before the law practice group.
Before joining the Pacific Legal Foundation team, Alison was a special assistant and counsel for over a decade to Gail Heriot, a member of the bipartisan United States Commission on Civil Rights. She also has deep roots in the liberty movement. Alison was a Koch Associate at the National Federation for Independent Business Legal Foundation and, during law school, completed summer clerkships at the Institute for Justice and the Charles G. Koch Charitable Foundation. She holds a J.D. from Emory University School of Law and an A.B. in history from Dartmouth College.
Her work has been published in the San Francisco Chronicle, the Daily Journal, Texas Journal of Law and Politics, and The Federalist Society’s Engage magazine and blog.
She lives in northern Virginia with her husband Ilya; two children; and golden retriever Willow. In her spare time, she enjoys reading, baking and cooking, children’s art projects, and training and exercising Willow.
Professor of History, East Stroudsburg University
Dr. Brooks is currently professor of history at East Stroudsburg University, where he teaches several courses, including African Americans and the Courts and US Constitutional History and Law and other courses in legal history. Further to his work at ESU, he is also a founding member and vice president of the Harrisburg lawyers' chapter of the Federalist Society.
Professor Brooks received his BA and MA in US History from East Stroudsburg University of Pennsylvania. He then received a Rotary Ambassadorial Scholarship to Edinburgh University (Scotland), where he studied British influences on the US judiciary. He completed his doctoral work at Kassel University (Germany). There he worked on the international “Modern Constitutionalism” project, editing and translating constitutions from German to English and English to German. His doctoral work there focused in particular on eleventh amendment sovereignty issues and law during the US founding era.
While in Germany, Prof. Brooks was an active member of the Center for North American Research, where he focused on constitutional and legal history, especially as it pertained to jurisprudential matters. He ran a solo business where he trained attorneys in several mid- to large-sized German and international law firms in legal English and communication. Prof. Brooks also did legal translation for many firms and for Germany’s Federal Constitutional Court, that nation’s highest court. Two books resulting from his work there include German Employment Law: 618 Questions Frequently Asked by Foreigners (2014) and Expats in Germany - Inbound and Outbound: Questions Frequently Asked by Foreigners (2017).
Current areas of research include state appellate judicial selection reform, early black attorneys, and comparative employment law.
Dr. Brooks has also written extensively Real Clear Politics, Real Clear Pennsylvania, and Allentown’s The Morning Call. His work has also appeared in New York Daily News, Los Angeles Times, Chicago Tribune, and The Hill.
Legislative and Policy Director, FIRE
Joe Cohn serves as director of FIRE’s Legislative and Policy department, overseeing a team of attorneys and staff tasked with monitoring and engaging on legislation and regulatory matters. Under his leadership, FIRE has secured numerous victories for free speech and due process at the state and federal level.
Joe is a 2004 graduate of the University of Pennsylvania Law School and the Fels Institute of Government Administration, where he earned his Juris Doctor and master’s degree in Government Administration. In 2000, he graduated with distinction from the University of Nevada at Las Vegas, where he co-founded the student chapter of the ACLU. A former staff attorney for the United States Court of Appeals for the Third Circuit and law clerk in the Philadelphia Court of Common Pleas, Joe joined FIRE in 2012 with a career-long dedication to advancing the cause of civil liberties, including through his service as a staff attorney at the AIDS Law Project of Pennsylvania where he provided legal services to underserved communities. His awards include accolades from The Legal Intelligencer and Pennsylvania Law Weekly, who named him a 2007 “Lawyer on the Fast Track,” and from Super Lawyers magazine, who named him a “Rising Star” in 2008.
Joe’s career also includes teaching at University of Pennsylvania Law School’s Gittis Civil Practice Clinic in 2010, where he lectured on good trial practices and supervised law students as they represented real clients in both state and federal courts. Just prior to joining FIRE, Joe served as the interim legal director for ACLU affiliates in Nevada and Utah.
As legislative and policy director, Joe spearheads FIRE’s advocacy at all levels of government. He has testified before Congress and in state legislatures across the country and has drafted numerous bills that have been enacted into state law. He regularly comments on FIRE’s issues in the media.
Counsel, Consovoy McCarthy PLLC
Ms. Meehan represents clients in all phases of litigation, with a focus on constitutional litigation and appellate matters. She has assisted clients on a broad range of matters, including those involving constitutional issues, the interpretation of federal statutes and regulations, contractual disputes and other complex commercial issues.
Ms. Meehan has served as a court-appointed amicus curiae for the Eleventh Circuit Court of Appeals in an en banc appeal involving the federal habeas statute. She has successfully petitioned the Seventh Circuit to halt the deposition of a high-ranking public official, and she has served as trial counsel in related redistricting litigation. Previously, Ms. Meehan was a partner at Bartlit Beck, where she served as trial and appellate counsel for a variety of complex commercial disputes, patent disputes, and cases involving constitutional claims.
Ms. Meehan is a former law clerk to Justice Antonin Scalia and Justice Clarence Thomas of the U.S. Supreme Court and Judge William H. Pryor Jr. of the U.S. Court of Appeals for the Eleventh Circuit. She graduated with high honors from the University of Chicago Law School, where she was selected for Order of the Coif and served as Managing Editor of the Law Review. Ms. Meehan is also a graduate, summa cum laude, from the University of Missouri School of Journalism. Ms. Meehan is located in Illinois and is a member of the Illinois and District of Columbia bars. Her application to the Virginia bar is pending.
Legal Fellow, Center for the Separation of Powers, Pacific Legal Foundation
Alison Somin joined Pacific Legal Foundation in May 2020 as a legal fellow in the Center for the Separation of Powers and part of the equality before the law practice group.
Before joining the Pacific Legal Foundation team, Alison was a special assistant and counsel for over a decade to Gail Heriot, a member of the bipartisan United States Commission on Civil Rights. She also has deep roots in the liberty movement. Alison was a Koch Associate at the National Federation for Independent Business Legal Foundation and, during law school, completed summer clerkships at the Institute for Justice and the Charles G. Koch Charitable Foundation. She holds a J.D. from Emory University School of Law and an A.B. in history from Dartmouth College.
Her work has been published in the San Francisco Chronicle, the Daily Journal, Texas Journal of Law and Politics, and The Federalist Society’s Engage magazine and blog.
She lives in northern Virginia with her husband Ilya; two children; and golden retriever Willow. In her spare time, she enjoys reading, baking and cooking, children’s art projects, and training and exercising Willow.
Opinion Columnist, FTC:WATCH
Neil Averitt is a lawyer, editor, and writer.
He was born in Washington, D.C., and later attended Dartmouth College, Harvard College, the London School of Economics, and Harvard Law School, where he was Note Editor on the Law Review.
For most of his professional career he practiced law at the Federal Trade Commission, helping to formulate policy on both antitrust and consumer protection issues. He has worked as advisor to one of the Commissioners, assistant to the Chairman, and as acting head of the antitrust planning staff. He has written numerous articles on antitrust topics, and has contributed to the briefs in a number of Supreme Court litigations.
He was the principal author of the Commission’s 1980 policy statement on its consumer unfairness jurisdiction, and of the opinion in International Harvester which formally adopted that statement.
He presently writes a column of opinion and analysis for the newsweekly FTC:WATCH.
Averitt is married to Kirstin Downey, who is also a writer. She recently published a biography of Frances Perkins, FDR’s Secretary of Labor, under the title of The Woman Behind the New Deal (Random House 2009). She is presently working on a biography of Queen Isabella of Spain (Random House 2014).
Averitt lives in Alexandria, Virginia.
Professor Emeritus of Strategic Management and Public Policy, School of Business, The George Washington University
Howard Beales teaches in the School of Business at the George Washington University, where he has been since 1988. His research interests include a wide variety of consumer protection regulatory issues, including privacy, law and economics, and the regulation of advertising. He has published numerous articles addressing these issues in academic journals.
From 2001 through 2004, Dr. Beales served as the Director of the Bureau of Consumer Protection at the Federal Trade Commission. In that capacity, he was instrumental in redirecting the FTC’s privacy agenda to focus on the consequences of the use and misuse of consumer information. During his tenure, the Commission proposed, promulgated, and implemented the national Do Not Call Registry. He also worked with Congress and the Administration to develop and implement the Fair and Accurate Credit Transactions Act of 2003, and testified before Congress on numerous occasions. His aggressive law enforcement program produced the largest redress orders in FTC history and attacked high volume frauds promoted through heavy television advertising.
Dr. Beales also worked at the FTC from 1977 to 1987, as a staff economist, Assistant to the Director of the Bureau of Consumer Protection, Associate Director for Policy and Evaluation, and Acting Deputy Director. In 1987-88, he was the Chief of the Human Resources and Housing Branch of the Office of Information and Regulatory Affairs in the Office of Management and Budget.
Howard Beales received his Ph.D. in economics from the University of Chicago in 1978. He graduated magna cum laude from Georgetown University with a B.A. in Economics in 1972.
President, Antitrust Education Project
Associate Professor, School of Social Policy & Practice, University of Pennsylvania, Faculty Research Fellow, National Bureau of Economic Research
Ioana Marinescu is an economist who studies the labor market to craft policies that can enhance employment, productivity, and economic security. To make an informed policy decision, it is crucial to determine the costs and benefits of policies. Dr. Marinescu’s research expertise includes online job search, antitrust & the labor market, the universal basic income, unemployment insurance, the minimum wage, and employment contracts.
Dr. Marinescu’s research has been published in leading academic journals such as the Journal of Labor Economics, the American Economic Journal: Macroeconomics, and the Journal of Public Economics. She has testified for policy makers, including the Federal Trade Commission, and has briefed Congressional Staff. Her research has been cited in many media outlets including the New York Times, CNN, and the Wall Street Journal. She writes a monthly op-ed for the French newspaper Liberation.
Dr. Marinescu is a faculty research fellow at the National Bureau of Economic Research. You can follow her on Twitter @mioana and check out her research on her website, marinescu.eu.
Managing Partner - Washington, D.C., Lewis Brisbois Bisgaard & Smith LLP
Jane Luxton is the Managing Partner of Lewis Brisbois’ Washington, D.C. office, co-chair of the Government Investigations & White Collar Defense Practice, co-chair of the Government Relations Group Leadership, co-chair of the Environmental and Administrative Law Practice, and vice-chair of the Consumer Financial Services Practice. Jane has extensive experience in environmental as well as other federal regulatory, policy, and litigation matters. She advises businesses, associations, and coalitions in navigating all levels of the federal regulatory process, including appellate advocacy.
Recent matters include:
Jane’s knowledge of environmental and administrative law gained key insights from her experience serving in several prominent positions in the U.S. government. From 2007-2009, she served as general counsel of the National Oceanic and Atmospheric Administration, advising the Undersecretary of Commerce for Oceans and Atmosphere on legal and policy issues related to natural resource damages, coastal zone and fisheries management, endangered species and marine mammal protection, and weather and climate change science. In this role, in which she held a top secret/SCI security clearance, Jane was appointed by the President to head the U.S. delegation to the 2008 Western and Central Pacific Fisheries Commission. She also received the U.S. Department of Commerce Gold Medal Award in 2008 and 2009.
Jane’s experience includes “first chair” prosecution of antitrust and other criminal cases at the U.S. Department of Justice and U.S. Attorneys office, Eastern District of Virginia. In private practice, Jane has represented clients in grand jury and other government investigations.
The Biden Administration’s Enhanced Policies On Corporate Criminal and Regulatory Enforcement
Britt Biles, Luke Cass, Nicholas Marr
Last fall, Deputy Attorney General Lisa Monaco announced significant changes to Department of Justice policies...
Breakout Panel: Climate Risk a New Regulatory Risk? Implications for Financial Regulatory Control of the Financial System
Jeremy Kress, Paul H. Kupiec, Christina P. Skinner, Graham Steele, Jeffrey H. Wood
Deploying a “whole-of-government approach” to climate change, the Biden Administration has sought to disincentivize the...
Breakout Panel: American Investment in China
M. Miller Baker, Kelley Currie, Alex Dimitrief, David Dollar, Ivan Kanapathy
For many years, the “Washington consensus” was that investing in China—either directly by contracting for...
Gender Identity Policy Under the Biden Administration
Rachel N. Morrison
On the campaign trail, President Joe Biden said one of his top legislative priorities for...
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Religious Liberty Update on Congress and the Biden Administration
Congress 1. The Fairness For All Act (FFAA) is likely dead after House Republican Chair...
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The Incoherence of the Biden Administration’s Labor-Market Policies
The Biden administration is pushing two irreconcilable theories about labor markets. One theory argues that...
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Looking for a Scapegoat: USDA Uses Guidance to Advance Administration's Inflation Blame Game
Stung by continued high inflation numbers, the Biden Administration has taken to blaming America’s meat...
Panel Three: Critical Race Theory in Schools
Christopher Brooks, Joe Cohn, Taylor Meehan, Alison E. Somin
Schools across the country have introduced elements of critical race theory into their curriculums. The...
Panel Three: Critical Race Theory in Schools
Christopher Brooks, Joe Cohn, Taylor Meehan, Alison E. Somin
Schools across the country have introduced elements of critical race theory into their curriculums. The...
Deep Dive Episode 197 – Competition at a Crossroads: Will the Executive Order on Competition Advance Competition, or Restrict It?
Neil Averitt, J. Howard Beales III, Robert H. Bork, Ioana Marinescu, Jane Luxton
Protecting and preserving competition are the key objectives of U.S. antitrust laws, which are all...