He regularly represents clients before U.S. federal and state financial regulatory authorities, including the U.S. Securities and Exchange Commission and the Financial Industry Regulatory Authority. He also represents clients in filing comment letters and amicus briefs in connection with SEC rulemakings.
Deep Dive Episode 69 – SOX Auditor Attestation Requirements
John Berlau, Wes Bricker, C. Wallace DeWitt, J.W. Verret
Is “investor protection” coordinated sufficiently with “promotion of capital formation”? This teleforum will consider this question...
Deep Dive Episode 69 – SOX Auditor Attestation Requirements
Regulatory Transparency Project Teleforum
Jock Taxes, Internet Taxes & Corporate Inversions: Recent Tax Controversies
Cleveland, OhioThe Volcker Rule: Curbing Risk or Curbing the Economy?
Financial Services & E-Commerce Practice Group and the American Bankers Associaton
Washington, DCReport on Day 3 of the Forty-third Assemblies of the Member States of WIPO
John S. Gardner
John S. Gardner, a Senior Director of the White House Writers Group in Washington, D.C.,...
Intellectual Property in an Era of Intellectual Renaissance
Gerald J. Mossinghoff
The remarks of the Hon. Gerald J. Mossinghoff to the Keio University International Extension Program...