Internet Policy Counsel and Director of Appellate Litigation, TechFreedom
Corbin Barthold is TechFreedom's Internet Policy Counsel and Director of Appellate Litigation.
Corbin clerked for the Hon. Steven D. Merryday (M.D. Fla.) and the Hon. Robert H. Cleland (E.D. Mich.). After his clerkships, he became an associate, and later a partner, in the Los Angeles office of Browne George Ross LLP, where he engaged in high-stakes complex litigation. He then served as Senior Litigation Counsel at Washington Legal Foundation, a D.C. public-interest firm, where his practice focused on appeals involving administrative law, the separation of powers, antitrust, and tech policy.
Corbin received his J.D. from the University of California, Berkeley, School of Law. He also holds a B.A., magna cum laude and Phi Beta Kappa, from the University of California, San Diego, and an Msc., with distinction, from the London School of Economics.
Partner, Sidley Austin LLP
William has more than three decades of experience in the fields of antitrust and consumer protection. Most of his experience has been in private practice, but from 2005 to 2009 he served as the General Counsel of the Federal Trade Commission.
In private practice, his engagements have involved evaluation and advice, regulatory filings, civil and criminal investigations, advocacy before federal and state enforcement agencies (most frequently the U.S. Department of Justice and Federal Trade Commission), coordination with foreign counsel, negotiation and entry of consent orders, and federal court litigation. Notable representative matters have included the following public-record cases:
During Bill’s four-year term as General Counsel of the FTC, he served as the agency’s chief law officer. His responsibilities included advising the Commission on law and policy, representing the agency in federal and state courts, and coordinating with other agencies of government. Among his other activities while at the FTC, Bill:
Associate Director, NERA Economic Consulting
Andrew Stivers specializes in the economics of consumer protection and privacy. He has developed and conducted analysis of novel and complex questions of consumer behavior and injury related to privacy, algorithmically driven practices, and cutting-edge promotion and advertising strategies.
Dr. Stivers has provided his economic expertise to companies in the top tiers of the video/audio streaming, retail platform, gig economy, gaming, and health data industries. He has also consulted with a broad range of established and growing businesses, including in the telecommunications, payments, investment, and food and supplement industries. Dr. Stivers helps clients achieve fair outcomes that are grounded in rigorous and accessible economic analysis.
Prior to joining NERA, Dr. Stivers was a senior official in the US Federal Trade Commission’s Bureau of Economics, where he oversaw economic analysis of all consumer protection and privacy matters. He advised the Bureau of Consumer Protection and Commissioners on hundreds of regulatory and law enforcement matters during his seven-year tenure leading this work at the Commission. Dr. Stivers was directly involved in developing economic analysis and standards for evaluating novel and consequential matters.
Prior to his leadership role at the FTC, Dr. Stivers served as the Director of the Division of Public Health Informatics and Analytics at the Food and Drug Administration’s Center for Food Safety and Applied Nutrition, overseeing the Center’s statistical, epidemiological, and consumer research groups. His regulatory work for the agency included providing economic and behavioral analysis to consumer nutrition labeling initiatives. As an academic, Dr. Stivers focused his research on the regulation of information and language in the marketplace.
Dr. Stivers has written and presented on complex and wide-ranging economic topics, published economic papers, and presented keynotes and panel discussions on a variety of informational, privacy, data security, and consumer behavior topics. These include invited presentations at academic and regulator-sponsored conferences and workshops, including by the FTC and the Bank of Canada.
Partner, Gibson, Dunn & Crutcher, LLP
Svetlana S. Gans is a partner in the Washington, D.C. office of Gibson, Dunn & Crutcher, LLP where she helps clients navigate complex consumer protection, privacy, and competition related regulatory proceedings before the U.S. Federal Trade Commission (FTC), , U.S. Department of Justice Antitrust Division, State Attorneys General and other enforcement bodies. Ms. Gans also assists on litigation matters and provides strategic counseling and advice related to public policy issues.
Before joining Gibson Dunn, she served as the Vice President & Associate General Counsel at NCTA, the Internet & Television Association, where she helped lead the association’s consumer protection and competition policy work. Prior to joining NCTA, Ms. Gans served with distinction as Chief of Staff to Acting Chairman Maureen K. Ohlhausen at the FTC. As the agency chief of staff, Ms. Gans managed and oversaw agency operations, including bureau and office heads reporting to the Chairman, a seven-member office staff, and an agency budget of over $300 million. She also served as the Acting Chairman’s key advisor on consumer protection and competition investigations and litigation, working with a diverse team of attorneys and economists to preserve competition and protect U.S. consumers. She created, executed, and oversaw several strategic initiatives for the agency, including the agency process reform, regulatory reform, and data security transparency initiatives. Previously, Ms. Gans had the unique experience of serving in both litigating bureaus of the FTC: the Bureau of Competition and the Bureau of Consumer Protection.
Prior to her time in government, Ms. Gans worked as an antitrust associate at major law firms. Her practice focused on defending consumer product, financial services, and trade association clients in regulatory and private investigations alleging conspiracy and violations of antitrust and consumer protection laws.
Ms. Gans has been an active leader in the ABA Antitrust Law Section (“Section”) for two decades, and currently serves as the Section’s Marketing Officer. Ms. Gans helped create the Section’s Young Lawyer Representative Program, now in its 10th year, and the Section’s Law Ambassador Program, each aimed at developing and promoting the next generation of consumer protection and competition attorneys. Ms. Gans is also active in the Federal Communications Bar Association, currently serving as Co-Chair of the Diversity Pipeline Initiative and the Women’s Leadership Committee.
Ms. Gans received her law degree with high honors from the University of Denver College of Law. During law school, Ms. Gans served as a Judicial Intern to the Honorable John L. Kane, Jr. and as an Honors Program Paralegal for the United States Department of Justice Antitrust Division, Merger Taskforce. Ms. Gans earned her undergraduate degree cum laude from Boston University.
Internet Policy Counsel and Director of Appellate Litigation, TechFreedom
Corbin Barthold is TechFreedom's Internet Policy Counsel and Director of Appellate Litigation.
Corbin clerked for the Hon. Steven D. Merryday (M.D. Fla.) and the Hon. Robert H. Cleland (E.D. Mich.). After his clerkships, he became an associate, and later a partner, in the Los Angeles office of Browne George Ross LLP, where he engaged in high-stakes complex litigation. He then served as Senior Litigation Counsel at Washington Legal Foundation, a D.C. public-interest firm, where his practice focused on appeals involving administrative law, the separation of powers, antitrust, and tech policy.
Corbin received his J.D. from the University of California, Berkeley, School of Law. He also holds a B.A., magna cum laude and Phi Beta Kappa, from the University of California, San Diego, and an Msc., with distinction, from the London School of Economics.
Partner, Sidley Austin LLP
William has more than three decades of experience in the fields of antitrust and consumer protection. Most of his experience has been in private practice, but from 2005 to 2009 he served as the General Counsel of the Federal Trade Commission.
In private practice, his engagements have involved evaluation and advice, regulatory filings, civil and criminal investigations, advocacy before federal and state enforcement agencies (most frequently the U.S. Department of Justice and Federal Trade Commission), coordination with foreign counsel, negotiation and entry of consent orders, and federal court litigation. Notable representative matters have included the following public-record cases:
During Bill’s four-year term as General Counsel of the FTC, he served as the agency’s chief law officer. His responsibilities included advising the Commission on law and policy, representing the agency in federal and state courts, and coordinating with other agencies of government. Among his other activities while at the FTC, Bill:
Partner, Gibson, Dunn & Crutcher, LLP
Svetlana S. Gans is a partner in the Washington, D.C. office of Gibson, Dunn & Crutcher, LLP where she helps clients navigate complex consumer protection, privacy, and competition related regulatory proceedings before the U.S. Federal Trade Commission (FTC), , U.S. Department of Justice Antitrust Division, State Attorneys General and other enforcement bodies. Ms. Gans also assists on litigation matters and provides strategic counseling and advice related to public policy issues.
Before joining Gibson Dunn, she served as the Vice President & Associate General Counsel at NCTA, the Internet & Television Association, where she helped lead the association’s consumer protection and competition policy work. Prior to joining NCTA, Ms. Gans served with distinction as Chief of Staff to Acting Chairman Maureen K. Ohlhausen at the FTC. As the agency chief of staff, Ms. Gans managed and oversaw agency operations, including bureau and office heads reporting to the Chairman, a seven-member office staff, and an agency budget of over $300 million. She also served as the Acting Chairman’s key advisor on consumer protection and competition investigations and litigation, working with a diverse team of attorneys and economists to preserve competition and protect U.S. consumers. She created, executed, and oversaw several strategic initiatives for the agency, including the agency process reform, regulatory reform, and data security transparency initiatives. Previously, Ms. Gans had the unique experience of serving in both litigating bureaus of the FTC: the Bureau of Competition and the Bureau of Consumer Protection.
Prior to her time in government, Ms. Gans worked as an antitrust associate at major law firms. Her practice focused on defending consumer product, financial services, and trade association clients in regulatory and private investigations alleging conspiracy and violations of antitrust and consumer protection laws.
Ms. Gans has been an active leader in the ABA Antitrust Law Section (“Section”) for two decades, and currently serves as the Section’s Marketing Officer. Ms. Gans helped create the Section’s Young Lawyer Representative Program, now in its 10th year, and the Section’s Law Ambassador Program, each aimed at developing and promoting the next generation of consumer protection and competition attorneys. Ms. Gans is also active in the Federal Communications Bar Association, currently serving as Co-Chair of the Diversity Pipeline Initiative and the Women’s Leadership Committee.
Ms. Gans received her law degree with high honors from the University of Denver College of Law. During law school, Ms. Gans served as a Judicial Intern to the Honorable John L. Kane, Jr. and as an Honors Program Paralegal for the United States Department of Justice Antitrust Division, Merger Taskforce. Ms. Gans earned her undergraduate degree cum laude from Boston University.
Associate Director, NERA Economic Consulting
Andrew Stivers specializes in the economics of consumer protection and privacy. He has developed and conducted analysis of novel and complex questions of consumer behavior and injury related to privacy, algorithmically driven practices, and cutting-edge promotion and advertising strategies.
Dr. Stivers has provided his economic expertise to companies in the top tiers of the video/audio streaming, retail platform, gig economy, gaming, and health data industries. He has also consulted with a broad range of established and growing businesses, including in the telecommunications, payments, investment, and food and supplement industries. Dr. Stivers helps clients achieve fair outcomes that are grounded in rigorous and accessible economic analysis.
Prior to joining NERA, Dr. Stivers was a senior official in the US Federal Trade Commission’s Bureau of Economics, where he oversaw economic analysis of all consumer protection and privacy matters. He advised the Bureau of Consumer Protection and Commissioners on hundreds of regulatory and law enforcement matters during his seven-year tenure leading this work at the Commission. Dr. Stivers was directly involved in developing economic analysis and standards for evaluating novel and consequential matters.
Prior to his leadership role at the FTC, Dr. Stivers served as the Director of the Division of Public Health Informatics and Analytics at the Food and Drug Administration’s Center for Food Safety and Applied Nutrition, overseeing the Center’s statistical, epidemiological, and consumer research groups. His regulatory work for the agency included providing economic and behavioral analysis to consumer nutrition labeling initiatives. As an academic, Dr. Stivers focused his research on the regulation of information and language in the marketplace.
Dr. Stivers has written and presented on complex and wide-ranging economic topics, published economic papers, and presented keynotes and panel discussions on a variety of informational, privacy, data security, and consumer behavior topics. These include invited presentations at academic and regulator-sponsored conferences and workshops, including by the FTC and the Bank of Canada.
Senior Editor at Large, Fortune Magazine
Geoff Colvin is an award-winning thinker, author, broadcaster, and speaker on today's most significant trends in business.
Geoff’s latest book is Humans Are Underrated: What High Achievers Know That Brilliant Machines Never Will. Amid rising anxiety over the advance of technology and its effects on human workers, the book identifies the skills of human interaction that will be key to success for people, businesses, and nations. The New York Times calls it “profound.” The Washington Post raves that it’s “valuable for its insights into the enduring value of human performance and teamwork.” The Wall Street Journal calls it a “big idea business book [that] weaves original reporting and humor into an intelligent narrative.”
His groundbreaking bestseller Talent Is Overrated: What Really Separates World-Class Performers From Everybody Else received the Harold A. Longman Award for Best Business Book of the year and has been translated into more than a dozen languages. Geoff’s book The Upside of the Downturn: Management Strategies for Difficult Times was named the best management book of the year by Strategy + Business magazine.
As a speaker, Geoff has engaged hundreds of audiences on six continents. He is also a skilled on-stage interviewer whose subjects have included Janet Yellen, Henry Kissinger, Richard Branson, the Prince of Wales, Bill Gates, Colin Powell, Jack Welch, Alan Greenspan, Ted Turner, George H.W. Bush, George W. Bush, and many others.
Geoff is one of America's preeminent business broadcasters. He is heard daily on the CBS Radio Network, where he has made over 10,000 broadcasts and reaches seven million listeners each week. He has appeared on Today, Good Morning America, CBS This Morning, ABC's World News, CNN, CNBC, PBS's Nightly Business Report, and dozens of other programs.
A native of Vermillion, South Dakota, Geoff is an honors graduate of Harvard with a degree in economics and has an M.B.A. from New York University’s Stern School of Business.
Retired Edgar S. Woolard, Jr. Chair in Corporate Governance, University of Delaware
Professor Elson is the Edgar S. Woolard, Jr., Chair in Corporate Governance and the Director of the John L. Weinberg Center for Corporate Governance at the University of Delaware. He is also "Of Counsel" to the law firm of Holland & Knight. He formerly served as a Professor of Law at Stetson University College of Law in St. Petersburg, Florida from 1990 until 2001. His fields of expertise include corporations, securities regulation and corporate governance. He is a graduate of Harvard College and the University of Virginia Law School, and has served as a law clerk to Judges J. Harvie Wilkinson III and Elbert P. Tuttle of the United States Court of Appeals for the Fourth and Eleventh Circuits. He has been a Visiting Professor at the University of Illinois College of Law, the Cornell Law School, and the University of Maryland School of Law, and is a Salvatori Fellow at the Heritage Foundation in Washington, D.C. and a member of the American Law Institute. Professor Elson has written extensively on the subject of boards of directors. He is a frequent contributor on corporate governance issues to various scholarly and popular publications. He served on the National Association of Corporate Directors' Commissions on Director Compensation, Director Professionalism, CEO Succession, Audit Committees, Strategic Planning and Director Evaluation, was a member of its Best Practices Council on Coping With Fraud and Other Illegal Activity, and presently serves on that organization’s Advisory Council. He is Vice Chairman of the ABA Business Law Section’s Committee on Corporate Governance and a member of its Committee on Corporate Laws. Additionally, Professor Elson served as an adviser and consultant to Towers Perrin, the international human resource management consultants, a director of Circon Corporation, a medical products maker; Sunbeam Corporation, the consumer products manufacturer; Nuevo Energy Company, an independent oil and natural gas producer, the Investor Responsibility Research Center, a non-profit corporate governance research organization, Alderwoods Group, an international death care services provider and is presently, a member of the Board of Directors of AutoZone, Inc., the national automobile parts retailer, HealthSouth Corporation, a healthcare services provider.
Former Chief Justice, Delaware Supreme Court; Of Counsel, Potter Anderson
Myron T. Steele is of counsel in the firm's Corporate Litigation Group. He is the former Chief Justice of the Supreme Court of Delaware.
Previously, he served as a Judge of the Superior Court and a Vice Chancellor of the Delaware Court of Chancery after eighteen years in private litigation practice. He has presided over major corporate litigation and LLC and limited partner governance disputes, and writes frequently on issues of corporate document interpretation and corporate governance.
Chief Justice Steele has published over 400 opinions resolving disputes among members of limited liability companies, and limited partnerships, and between shareholders and management of both publicly traded and close corporations. He speaks and writes frequently on issues of corporate document interpretation and corporate governance. His thesis for the LL.M. degree, Judicial Scrutiny of Fiduciary Duties in Delaware Limited Partnerships and Limited Liability Companies, focused on the application of common law fiduciary duties within the contractual framework of alternative business organizations. It was published in the Delaware Journal of Corporate Law (32 Del. J. Corp. L. 1 (2007)). The November 2005 issue of The Business Lawyer included an article he co-authored with Sean J. Griffith entitled On Corporate Law Federalism: Threatening the Thaumatrope (61 Bus. Law. 1 (2005)). He co-authored an article with J.W. Verret entitled Delaware’s Guidance: Ensuring Equity for the Modern Witenagemot published in the Fall 2007 issue of the Virginia Law & Business Review (2 Va. L. & Bus. Rev. 188 (2007)). That article formed the basis for a keynote speech to the Business Law Section at the 2007 ABA Annual Meeting.
For the last ten years he served as judicial advisor to the Mergers and Acquisitions Committee of the ABA Business Law Section. He also co-authored an article entitled “Freedom of Contract and Default Contractual Duties in Delaware Limited Partnerships and Limited Liability Companies” (46 Am. Bus. L.J. 221 (Summer 2009)) and an essay entitled “The Moral Underpinning of Delaware’s Modern Corporate Fiduciary Duties” (26 Notre Dame J.L. Ethics & Pub. Pol’y 3 (2012)).
Chief Justice Steele served as Adjunct Professor of Law at University of Pennsylvania Law School from 2009–2013; University of Virginia Law School 2010–2017; and Pepperdine University Law School 2010–2014.
Executive Director, ESG Center, The Conference Board
Paul Washington joined The Conference Board in June 2019 as Executive Director of the ESG Center, a non-profit think tank that focuses on corporate governance, sustainability, and corporate citizenship and philanthropy.
His career has spanned the private, governmental, academic, and non-profit sectors. Before joining the ESG Center, Paul spent nearly 20 years at Time Warner Inc., serving for most of that time as Senior Vice President, Deputy General Counsel, and Corporate Secretary. He also served as Chief of Staff for the company’s Chairman and CEO. In addition to his tenure at Time Warner, Washington practiced law at the firm of Sidley & Austin and served as Vice President and Corporate Secretary of The Dime Savings Bank of New York.
In terms of public service, Paul’s served as a law clerk for former Supreme Court Associate Justices William Brennan and David Souter, and for Circuit Court Judge David Tatel. He worked on Capitol Hill for former U.S. Representative Stanley Lundine and, later, as his principal speechwriter when Lundine served as New York’s Lieutenant Governor, as well as for U.S. Senators Walter D. Huddleston and Jacob Javits. He has also served in local government in both paid and volunteer capacities.
Paul taught corporate governance as an Adjunct Professor at Fordham Law School for over a decade and has served on the boards of over 25 non-profit organizations. He was also a long-time active member of The Conference Board, including chairing its Advisory Board on Corporate/Investor Engagement.
Paul graduated magna cum laude from each of Yale College and Fordham University School of Law.
Partner and Co-Chair, Corporate Governance and Executive Compensation Practice, Sidley Austin LLP
Holly J. Gregory, co-chair of Sidley’s global Corporate Governance and Executive Compensation practice, counsels publicly held, private and not-for-profit corporations on the full range of governance issues, including governance structure and culture, fiduciary duties, risk oversight, conflicts of interest, board and committee structure, board leadership, special committee investigations, CEO transitions, board audits and self-evaluation processes, shareholder activism and initiatives, proxy contests, relationships with shareholders and proxy advisory firms, compliance with legislative, regulatory and listing rule requirements and governance “best practices.” She is frequently called on to advise boards regarding sensitive and unusual matters. While most of the matters she works on are highly confidential, high-profile matters that are in the public record include advising on governance and accountability mechanisms of the Internet Corporation for Assigned Names and Numbers (ICANN) to replace U.S. government oversight, and advising the Board of The Pennsylvania State University on governance reforms.
Holly played a key role in drafting the OECD Principles of Corporate Governance and has advised the Internal Market Directorate of the European Commission on corporate governance regulation, and the joint OECD/World Bank Global Corporate Governance Forum on governance policy for developing and emerging markets. She also drafted the National Association of Corporate Directors (NACD) Key Agreed Principles of Corporate Governance.
In addition to her legal practice and policy efforts, Holly has lectured extensively on governance topics, including at events in Europe and Asia sponsored by the U.S. State Department, International Corporate Governance Network (ICGN), The Conference Board, the NACD, Association of Corporate Counsel, Society for Corporate Governance and Institutional Shareholder Services (ISS). The author of numerous articles on governance topics, she writes the governance column for Practical Law: The Journal.
Holly recently completed her term as chair of the American Bar Association’s (ABA) Corporate Governance Committee. She is a former co-chair of the ABA’s Delaware Law and Business Forum, a former appointed member of the Corporate Laws Committee where she served as co-editor of the Corporate Director’s Guidebook (Sixth Edition). She chaired the ABA task force that delivered the Report on the Delineation of Governance Roles & Responsibilities to Congress and the SEC in 2009. Holly serves on the ABA Business Law Section Council, is a founding trustee and president of The American College of Governance Counsel and is a member of The American Law Institute. She has served as an adjunct professor at Columbia Business School and as a member of multiple NACD Blue Ribbon Commissions.
Holly clerked for the Honorable Roger J. Miner, United States Court of Appeals for the Second Circuit. A summa cum laude graduate of New York Law School and Executive Editor of its Law Review, Holly served on the Board of Trustees of New York Law School from 2009 through 2011.
Partner, Capitol Counsel LLC
Martin B. Gold is a partner with Capitol Counsel LLC. In service to our clients, he brings over 40 years of experience, both on Senate staff and in private practice. He is a recognized authority on matters of congressional rules and parliamentary strategies.
Gold is the author of “Senate Procedure and Practice,” a widely consulted primer on Senate Floor procedure, now in its third edition (2013). He frequently advises in offices of Senators and serves on the adjunct faculty at George Washington University. Before domestic business, professional and academic audiences, he often speaks about Congress as well as political and public policy developments.
Gold has been a guest lecturer at Tsinghua University and the Beijing Foreign Studies University, Moscow State University, the Moscow State Institute of International Relations, the State Parliament of Ukraine, and the Federation Council of the Russian Federal Assembly. He published in China “The Grand Institution: A Profile of the United States Senate.” (2011)
Between 1972 to 1982, Gold worked in senior staff positions at the Senate, culminating as counsel to Senate Majority Leader Howard H. Baker, Jr. (R-TN). Gold began his career as a legal assistant to Senator Mark O. Hatfield (R-OR) and later served as republican staff director and counsel to the Senate Rules Committee and as a professional staff member on the Senate Select Committee on Intelligence. In 2003, Gold was floor adviser and counsel to Senate Majority Leader Bill Frist (R-TN).
Gold was president of the lobbying firm Gold and Liebengood, which he co-founded in 1984. He joined the government relations firm, Johnson, Smith, Dover, Kitzmiller & Stewart, Inc. in 1995. Later, Gold co-founded The Legislative Strategies Group, a leading government affairs practice.
In 2004, Gold became a partner at Covington & Burling LLC, one of the nation’s most prominent law firms. While co-chair of Covington’s government affairs practice, Gold was instrumental in securing adoption of congressional resolutions expressing regret for the Chinese exclusion laws. For this pro bono project, he was awarded the Champion of Justice Award by the Chinese American Citizens Alliance. In 2012, he authored “Forbidden Citizens: Chinese Exclusion and the U.S. Congress: A Legislative History.” His book was awarded the Benjamin Franklin Gold Medal by the Independent Book Publishers of America and was named an Honor Book by the Asian and Pacific American Librarians Association. At the end of 2016, Gold published “A Legislative History of the Taiwan Relations Act; Bridging the Strait.”
In 2006, President George W. Bush appointed Gold to serve as a member of the United States Commission for the Preservation of America’s Heritage Abroad. On the commission, Gold commemorated the work of D. Ho Feng Shan, a Chinese diplomat who, while serving as a consular officer in Austria, issued visas to Shanghai to save several thousand Jews from Nazi persecution. In 2008, the Senate adopted a resolution honoring Dr. Ho’s selfless heroism.
Gold is a member of the Cosmos Club in Washington, D.C. He was elected in 2000 in recognition for excellence in the field of political science.
Gold is a graduate of the Washington College of Law at The American University and serves on the Board of the Friends of the Law Library of the Library of Congress.
Senior Advisor, Covington & Burling
Senator Jon Kyl advises companies on domestic and international policies that influence U.S. and multi-national businesses and assists corporate clients on tax, health care, national security, and intellectual property matters, among others.
Jon served in the U.S. Senate from 1995 to 2013, retiring as the second-highest ranking Republican senator. He returned to the Senate in September 2018 after being appointed to succeed the late John McCain, and retired again at the end of 2018.
During Jon’s 26 years in Congress, he built a reputation for mastering the complexities of legislative policy and coalition building, first in the House of Representatives and then in the Senate. In 2010, Time magazine called him one of the 100 most influential people in the world, noting his "encyclopedic knowledge of domestic and foreign policy, and his hard work and leadership" and his "power to persuade."
Jon sat on the powerful Senate Finance Committee and was the ranking Republican on the Senate Judiciary Committee’s Subcommittee on Crime and Terrorism. A member of the Republican Leadership for well over a decade, Jon chaired the Senate Republican Policy Committee and the Senate Republican Conference, before becoming Senate Republican Whip. In filling Senator McCain’s seat, he served on the Armed Services and Homeland Security Committees.
Partner, Sidley Austin
Peter Roskam, a former six-term U.S. Representative from Illinois, provides strategic counsel and guidance to clients whose business needs involve law, government, media and public policy. He also serves on the firm’s COVID-19 Task Force. Peter held some of the most significant positions in the U.S. House of Representatives during his tenure (2007–2019). In addition to serving in the House Leadership as the Chief Deputy Whip, he chaired three major subcommittees of the House Ways and Means Committee. As Chairman of the Subcommittee on Tax Policy, he was a chief architect of the historic 2017 overhaul of the nation’s tax code. As Chairman of Subcommittee on Health, he began the “Medicare Red Tape Relief Project,” led a series of hearings addressing the opioid crisis and authored several bills to make opioid addiction treatment more accessible. In addition, as the Chairman of the Subcommittee on Oversight, he spearheaded efforts to increase supervision of the Internal Revenue Service and championed efforts to overhaul the IRS’s civil asset forfeiture program.
Peter also served on the House Financial Services Committee, including the Capital Markets, Insurance and Government Sponsored Enterprises Subcommittee and the Domestic and International Monetary Policy, Trade and Technology Subcommittee. He was a member of the Select Committee on Events surrounding the 2012 Terrorist Attack in Benghazi, Libya.
He chaired the U.S. House Democracy Partnership, a bipartisan commission supporting emerging democracies abroad and co-chaired the Korea Caucus, the India Caucus, the Bipartisan Task Force to Combat Anti-Semitism and the Republican Israel Caucus.
Before his work on Capitol Hill in Washington, Peter represented Chicago’s western suburbs for 13 years in the Illinois House of Representatives and the Illinois State Senate where he developed a close working relationship with then-state Sen. Barack Obama. During his tenure in the state legislature he also was in the private practice of law in Illinois.
Partner, Capitol Counsel LLC
Martin B. Gold is a partner with Capitol Counsel LLC. In service to our clients, he brings over 40 years of experience, both on Senate staff and in private practice. He is a recognized authority on matters of congressional rules and parliamentary strategies.
Gold is the author of “Senate Procedure and Practice,” a widely consulted primer on Senate Floor procedure, now in its third edition (2013). He frequently advises in offices of Senators and serves on the adjunct faculty at George Washington University. Before domestic business, professional and academic audiences, he often speaks about Congress as well as political and public policy developments.
Gold has been a guest lecturer at Tsinghua University and the Beijing Foreign Studies University, Moscow State University, the Moscow State Institute of International Relations, the State Parliament of Ukraine, and the Federation Council of the Russian Federal Assembly. He published in China “The Grand Institution: A Profile of the United States Senate.” (2011)
Between 1972 to 1982, Gold worked in senior staff positions at the Senate, culminating as counsel to Senate Majority Leader Howard H. Baker, Jr. (R-TN). Gold began his career as a legal assistant to Senator Mark O. Hatfield (R-OR) and later served as republican staff director and counsel to the Senate Rules Committee and as a professional staff member on the Senate Select Committee on Intelligence. In 2003, Gold was floor adviser and counsel to Senate Majority Leader Bill Frist (R-TN).
Gold was president of the lobbying firm Gold and Liebengood, which he co-founded in 1984. He joined the government relations firm, Johnson, Smith, Dover, Kitzmiller & Stewart, Inc. in 1995. Later, Gold co-founded The Legislative Strategies Group, a leading government affairs practice.
In 2004, Gold became a partner at Covington & Burling LLC, one of the nation’s most prominent law firms. While co-chair of Covington’s government affairs practice, Gold was instrumental in securing adoption of congressional resolutions expressing regret for the Chinese exclusion laws. For this pro bono project, he was awarded the Champion of Justice Award by the Chinese American Citizens Alliance. In 2012, he authored “Forbidden Citizens: Chinese Exclusion and the U.S. Congress: A Legislative History.” His book was awarded the Benjamin Franklin Gold Medal by the Independent Book Publishers of America and was named an Honor Book by the Asian and Pacific American Librarians Association. At the end of 2016, Gold published “A Legislative History of the Taiwan Relations Act; Bridging the Strait.”
In 2006, President George W. Bush appointed Gold to serve as a member of the United States Commission for the Preservation of America’s Heritage Abroad. On the commission, Gold commemorated the work of D. Ho Feng Shan, a Chinese diplomat who, while serving as a consular officer in Austria, issued visas to Shanghai to save several thousand Jews from Nazi persecution. In 2008, the Senate adopted a resolution honoring Dr. Ho’s selfless heroism.
Gold is a member of the Cosmos Club in Washington, D.C. He was elected in 2000 in recognition for excellence in the field of political science.
Gold is a graduate of the Washington College of Law at The American University and serves on the Board of the Friends of the Law Library of the Library of Congress.
Senior Advisor, Covington & Burling
Senator Jon Kyl advises companies on domestic and international policies that influence U.S. and multi-national businesses and assists corporate clients on tax, health care, national security, and intellectual property matters, among others.
Jon served in the U.S. Senate from 1995 to 2013, retiring as the second-highest ranking Republican senator. He returned to the Senate in September 2018 after being appointed to succeed the late John McCain, and retired again at the end of 2018.
During Jon’s 26 years in Congress, he built a reputation for mastering the complexities of legislative policy and coalition building, first in the House of Representatives and then in the Senate. In 2010, Time magazine called him one of the 100 most influential people in the world, noting his "encyclopedic knowledge of domestic and foreign policy, and his hard work and leadership" and his "power to persuade."
Jon sat on the powerful Senate Finance Committee and was the ranking Republican on the Senate Judiciary Committee’s Subcommittee on Crime and Terrorism. A member of the Republican Leadership for well over a decade, Jon chaired the Senate Republican Policy Committee and the Senate Republican Conference, before becoming Senate Republican Whip. In filling Senator McCain’s seat, he served on the Armed Services and Homeland Security Committees.
Partner, Sidley Austin
Peter Roskam, a former six-term U.S. Representative from Illinois, provides strategic counsel and guidance to clients whose business needs involve law, government, media and public policy. He also serves on the firm’s COVID-19 Task Force. Peter held some of the most significant positions in the U.S. House of Representatives during his tenure (2007–2019). In addition to serving in the House Leadership as the Chief Deputy Whip, he chaired three major subcommittees of the House Ways and Means Committee. As Chairman of the Subcommittee on Tax Policy, he was a chief architect of the historic 2017 overhaul of the nation’s tax code. As Chairman of Subcommittee on Health, he began the “Medicare Red Tape Relief Project,” led a series of hearings addressing the opioid crisis and authored several bills to make opioid addiction treatment more accessible. In addition, as the Chairman of the Subcommittee on Oversight, he spearheaded efforts to increase supervision of the Internal Revenue Service and championed efforts to overhaul the IRS’s civil asset forfeiture program.
Peter also served on the House Financial Services Committee, including the Capital Markets, Insurance and Government Sponsored Enterprises Subcommittee and the Domestic and International Monetary Policy, Trade and Technology Subcommittee. He was a member of the Select Committee on Events surrounding the 2012 Terrorist Attack in Benghazi, Libya.
He chaired the U.S. House Democracy Partnership, a bipartisan commission supporting emerging democracies abroad and co-chaired the Korea Caucus, the India Caucus, the Bipartisan Task Force to Combat Anti-Semitism and the Republican Israel Caucus.
Before his work on Capitol Hill in Washington, Peter represented Chicago’s western suburbs for 13 years in the Illinois House of Representatives and the Illinois State Senate where he developed a close working relationship with then-state Sen. Barack Obama. During his tenure in the state legislature he also was in the private practice of law in Illinois.
Partner, Capitol Counsel LLC
Martin B. Gold is a partner with Capitol Counsel LLC. In service to our clients, he brings over 40 years of experience, both on Senate staff and in private practice. He is a recognized authority on matters of congressional rules and parliamentary strategies.
Gold is the author of “Senate Procedure and Practice,” a widely consulted primer on Senate Floor procedure, now in its third edition (2013). He frequently advises in offices of Senators and serves on the adjunct faculty at George Washington University. Before domestic business, professional and academic audiences, he often speaks about Congress as well as political and public policy developments.
Gold has been a guest lecturer at Tsinghua University and the Beijing Foreign Studies University, Moscow State University, the Moscow State Institute of International Relations, the State Parliament of Ukraine, and the Federation Council of the Russian Federal Assembly. He published in China “The Grand Institution: A Profile of the United States Senate.” (2011)
Between 1972 to 1982, Gold worked in senior staff positions at the Senate, culminating as counsel to Senate Majority Leader Howard H. Baker, Jr. (R-TN). Gold began his career as a legal assistant to Senator Mark O. Hatfield (R-OR) and later served as republican staff director and counsel to the Senate Rules Committee and as a professional staff member on the Senate Select Committee on Intelligence. In 2003, Gold was floor adviser and counsel to Senate Majority Leader Bill Frist (R-TN).
Gold was president of the lobbying firm Gold and Liebengood, which he co-founded in 1984. He joined the government relations firm, Johnson, Smith, Dover, Kitzmiller & Stewart, Inc. in 1995. Later, Gold co-founded The Legislative Strategies Group, a leading government affairs practice.
In 2004, Gold became a partner at Covington & Burling LLC, one of the nation’s most prominent law firms. While co-chair of Covington’s government affairs practice, Gold was instrumental in securing adoption of congressional resolutions expressing regret for the Chinese exclusion laws. For this pro bono project, he was awarded the Champion of Justice Award by the Chinese American Citizens Alliance. In 2012, he authored “Forbidden Citizens: Chinese Exclusion and the U.S. Congress: A Legislative History.” His book was awarded the Benjamin Franklin Gold Medal by the Independent Book Publishers of America and was named an Honor Book by the Asian and Pacific American Librarians Association. At the end of 2016, Gold published “A Legislative History of the Taiwan Relations Act; Bridging the Strait.”
In 2006, President George W. Bush appointed Gold to serve as a member of the United States Commission for the Preservation of America’s Heritage Abroad. On the commission, Gold commemorated the work of D. Ho Feng Shan, a Chinese diplomat who, while serving as a consular officer in Austria, issued visas to Shanghai to save several thousand Jews from Nazi persecution. In 2008, the Senate adopted a resolution honoring Dr. Ho’s selfless heroism.
Gold is a member of the Cosmos Club in Washington, D.C. He was elected in 2000 in recognition for excellence in the field of political science.
Gold is a graduate of the Washington College of Law at The American University and serves on the Board of the Friends of the Law Library of the Library of Congress.
Senior Advisor, Covington & Burling
Senator Jon Kyl advises companies on domestic and international policies that influence U.S. and multi-national businesses and assists corporate clients on tax, health care, national security, and intellectual property matters, among others.
Jon served in the U.S. Senate from 1995 to 2013, retiring as the second-highest ranking Republican senator. He returned to the Senate in September 2018 after being appointed to succeed the late John McCain, and retired again at the end of 2018.
During Jon’s 26 years in Congress, he built a reputation for mastering the complexities of legislative policy and coalition building, first in the House of Representatives and then in the Senate. In 2010, Time magazine called him one of the 100 most influential people in the world, noting his "encyclopedic knowledge of domestic and foreign policy, and his hard work and leadership" and his "power to persuade."
Jon sat on the powerful Senate Finance Committee and was the ranking Republican on the Senate Judiciary Committee’s Subcommittee on Crime and Terrorism. A member of the Republican Leadership for well over a decade, Jon chaired the Senate Republican Policy Committee and the Senate Republican Conference, before becoming Senate Republican Whip. In filling Senator McCain’s seat, he served on the Armed Services and Homeland Security Committees.
Partner, Sidley Austin
Peter Roskam, a former six-term U.S. Representative from Illinois, provides strategic counsel and guidance to clients whose business needs involve law, government, media and public policy. He also serves on the firm’s COVID-19 Task Force. Peter held some of the most significant positions in the U.S. House of Representatives during his tenure (2007–2019). In addition to serving in the House Leadership as the Chief Deputy Whip, he chaired three major subcommittees of the House Ways and Means Committee. As Chairman of the Subcommittee on Tax Policy, he was a chief architect of the historic 2017 overhaul of the nation’s tax code. As Chairman of Subcommittee on Health, he began the “Medicare Red Tape Relief Project,” led a series of hearings addressing the opioid crisis and authored several bills to make opioid addiction treatment more accessible. In addition, as the Chairman of the Subcommittee on Oversight, he spearheaded efforts to increase supervision of the Internal Revenue Service and championed efforts to overhaul the IRS’s civil asset forfeiture program.
Peter also served on the House Financial Services Committee, including the Capital Markets, Insurance and Government Sponsored Enterprises Subcommittee and the Domestic and International Monetary Policy, Trade and Technology Subcommittee. He was a member of the Select Committee on Events surrounding the 2012 Terrorist Attack in Benghazi, Libya.
He chaired the U.S. House Democracy Partnership, a bipartisan commission supporting emerging democracies abroad and co-chaired the Korea Caucus, the India Caucus, the Bipartisan Task Force to Combat Anti-Semitism and the Republican Israel Caucus.
Before his work on Capitol Hill in Washington, Peter represented Chicago’s western suburbs for 13 years in the Illinois House of Representatives and the Illinois State Senate where he developed a close working relationship with then-state Sen. Barack Obama. During his tenure in the state legislature he also was in the private practice of law in Illinois.
Internet Policy Counsel and Director of Appellate Litigation, TechFreedom
Corbin Barthold is TechFreedom's Internet Policy Counsel and Director of Appellate Litigation.
Corbin clerked for the Hon. Steven D. Merryday (M.D. Fla.) and the Hon. Robert H. Cleland (E.D. Mich.). After his clerkships, he became an associate, and later a partner, in the Los Angeles office of Browne George Ross LLP, where he engaged in high-stakes complex litigation. He then served as Senior Litigation Counsel at Washington Legal Foundation, a D.C. public-interest firm, where his practice focused on appeals involving administrative law, the separation of powers, antitrust, and tech policy.
Corbin received his J.D. from the University of California, Berkeley, School of Law. He also holds a B.A., magna cum laude and Phi Beta Kappa, from the University of California, San Diego, and an Msc., with distinction, from the London School of Economics.
Partner, Sidley Austin LLP
William has more than three decades of experience in the fields of antitrust and consumer protection. Most of his experience has been in private practice, but from 2005 to 2009 he served as the General Counsel of the Federal Trade Commission.
In private practice, his engagements have involved evaluation and advice, regulatory filings, civil and criminal investigations, advocacy before federal and state enforcement agencies (most frequently the U.S. Department of Justice and Federal Trade Commission), coordination with foreign counsel, negotiation and entry of consent orders, and federal court litigation. Notable representative matters have included the following public-record cases:
During Bill’s four-year term as General Counsel of the FTC, he served as the agency’s chief law officer. His responsibilities included advising the Commission on law and policy, representing the agency in federal and state courts, and coordinating with other agencies of government. Among his other activities while at the FTC, Bill:
Partner, Gibson, Dunn & Crutcher, LLP
Svetlana S. Gans is a partner in the Washington, D.C. office of Gibson, Dunn & Crutcher, LLP where she helps clients navigate complex consumer protection, privacy, and competition related regulatory proceedings before the U.S. Federal Trade Commission (FTC), , U.S. Department of Justice Antitrust Division, State Attorneys General and other enforcement bodies. Ms. Gans also assists on litigation matters and provides strategic counseling and advice related to public policy issues.
Before joining Gibson Dunn, she served as the Vice President & Associate General Counsel at NCTA, the Internet & Television Association, where she helped lead the association’s consumer protection and competition policy work. Prior to joining NCTA, Ms. Gans served with distinction as Chief of Staff to Acting Chairman Maureen K. Ohlhausen at the FTC. As the agency chief of staff, Ms. Gans managed and oversaw agency operations, including bureau and office heads reporting to the Chairman, a seven-member office staff, and an agency budget of over $300 million. She also served as the Acting Chairman’s key advisor on consumer protection and competition investigations and litigation, working with a diverse team of attorneys and economists to preserve competition and protect U.S. consumers. She created, executed, and oversaw several strategic initiatives for the agency, including the agency process reform, regulatory reform, and data security transparency initiatives. Previously, Ms. Gans had the unique experience of serving in both litigating bureaus of the FTC: the Bureau of Competition and the Bureau of Consumer Protection.
Prior to her time in government, Ms. Gans worked as an antitrust associate at major law firms. Her practice focused on defending consumer product, financial services, and trade association clients in regulatory and private investigations alleging conspiracy and violations of antitrust and consumer protection laws.
Ms. Gans has been an active leader in the ABA Antitrust Law Section (“Section”) for two decades, and currently serves as the Section’s Marketing Officer. Ms. Gans helped create the Section’s Young Lawyer Representative Program, now in its 10th year, and the Section’s Law Ambassador Program, each aimed at developing and promoting the next generation of consumer protection and competition attorneys. Ms. Gans is also active in the Federal Communications Bar Association, currently serving as Co-Chair of the Diversity Pipeline Initiative and the Women’s Leadership Committee.
Ms. Gans received her law degree with high honors from the University of Denver College of Law. During law school, Ms. Gans served as a Judicial Intern to the Honorable John L. Kane, Jr. and as an Honors Program Paralegal for the United States Department of Justice Antitrust Division, Merger Taskforce. Ms. Gans earned her undergraduate degree cum laude from Boston University.
Associate Director, NERA Economic Consulting
Andrew Stivers specializes in the economics of consumer protection and privacy. He has developed and conducted analysis of novel and complex questions of consumer behavior and injury related to privacy, algorithmically driven practices, and cutting-edge promotion and advertising strategies.
Dr. Stivers has provided his economic expertise to companies in the top tiers of the video/audio streaming, retail platform, gig economy, gaming, and health data industries. He has also consulted with a broad range of established and growing businesses, including in the telecommunications, payments, investment, and food and supplement industries. Dr. Stivers helps clients achieve fair outcomes that are grounded in rigorous and accessible economic analysis.
Prior to joining NERA, Dr. Stivers was a senior official in the US Federal Trade Commission’s Bureau of Economics, where he oversaw economic analysis of all consumer protection and privacy matters. He advised the Bureau of Consumer Protection and Commissioners on hundreds of regulatory and law enforcement matters during his seven-year tenure leading this work at the Commission. Dr. Stivers was directly involved in developing economic analysis and standards for evaluating novel and consequential matters.
Prior to his leadership role at the FTC, Dr. Stivers served as the Director of the Division of Public Health Informatics and Analytics at the Food and Drug Administration’s Center for Food Safety and Applied Nutrition, overseeing the Center’s statistical, epidemiological, and consumer research groups. His regulatory work for the agency included providing economic and behavioral analysis to consumer nutrition labeling initiatives. As an academic, Dr. Stivers focused his research on the regulation of information and language in the marketplace.
Dr. Stivers has written and presented on complex and wide-ranging economic topics, published economic papers, and presented keynotes and panel discussions on a variety of informational, privacy, data security, and consumer behavior topics. These include invited presentations at academic and regulator-sponsored conferences and workshops, including by the FTC and the Bank of Canada.
Senior Editor at Large, Fortune Magazine
Geoff Colvin is an award-winning thinker, author, broadcaster, and speaker on today's most significant trends in business.
Geoff’s latest book is Humans Are Underrated: What High Achievers Know That Brilliant Machines Never Will. Amid rising anxiety over the advance of technology and its effects on human workers, the book identifies the skills of human interaction that will be key to success for people, businesses, and nations. The New York Times calls it “profound.” The Washington Post raves that it’s “valuable for its insights into the enduring value of human performance and teamwork.” The Wall Street Journal calls it a “big idea business book [that] weaves original reporting and humor into an intelligent narrative.”
His groundbreaking bestseller Talent Is Overrated: What Really Separates World-Class Performers From Everybody Else received the Harold A. Longman Award for Best Business Book of the year and has been translated into more than a dozen languages. Geoff’s book The Upside of the Downturn: Management Strategies for Difficult Times was named the best management book of the year by Strategy + Business magazine.
As a speaker, Geoff has engaged hundreds of audiences on six continents. He is also a skilled on-stage interviewer whose subjects have included Janet Yellen, Henry Kissinger, Richard Branson, the Prince of Wales, Bill Gates, Colin Powell, Jack Welch, Alan Greenspan, Ted Turner, George H.W. Bush, George W. Bush, and many others.
Geoff is one of America's preeminent business broadcasters. He is heard daily on the CBS Radio Network, where he has made over 10,000 broadcasts and reaches seven million listeners each week. He has appeared on Today, Good Morning America, CBS This Morning, ABC's World News, CNN, CNBC, PBS's Nightly Business Report, and dozens of other programs.
A native of Vermillion, South Dakota, Geoff is an honors graduate of Harvard with a degree in economics and has an M.B.A. from New York University’s Stern School of Business.
Retired Edgar S. Woolard, Jr. Chair in Corporate Governance, University of Delaware
Professor Elson is the Edgar S. Woolard, Jr., Chair in Corporate Governance and the Director of the John L. Weinberg Center for Corporate Governance at the University of Delaware. He is also "Of Counsel" to the law firm of Holland & Knight. He formerly served as a Professor of Law at Stetson University College of Law in St. Petersburg, Florida from 1990 until 2001. His fields of expertise include corporations, securities regulation and corporate governance. He is a graduate of Harvard College and the University of Virginia Law School, and has served as a law clerk to Judges J. Harvie Wilkinson III and Elbert P. Tuttle of the United States Court of Appeals for the Fourth and Eleventh Circuits. He has been a Visiting Professor at the University of Illinois College of Law, the Cornell Law School, and the University of Maryland School of Law, and is a Salvatori Fellow at the Heritage Foundation in Washington, D.C. and a member of the American Law Institute. Professor Elson has written extensively on the subject of boards of directors. He is a frequent contributor on corporate governance issues to various scholarly and popular publications. He served on the National Association of Corporate Directors' Commissions on Director Compensation, Director Professionalism, CEO Succession, Audit Committees, Strategic Planning and Director Evaluation, was a member of its Best Practices Council on Coping With Fraud and Other Illegal Activity, and presently serves on that organization’s Advisory Council. He is Vice Chairman of the ABA Business Law Section’s Committee on Corporate Governance and a member of its Committee on Corporate Laws. Additionally, Professor Elson served as an adviser and consultant to Towers Perrin, the international human resource management consultants, a director of Circon Corporation, a medical products maker; Sunbeam Corporation, the consumer products manufacturer; Nuevo Energy Company, an independent oil and natural gas producer, the Investor Responsibility Research Center, a non-profit corporate governance research organization, Alderwoods Group, an international death care services provider and is presently, a member of the Board of Directors of AutoZone, Inc., the national automobile parts retailer, HealthSouth Corporation, a healthcare services provider.
Partner and Co-Chair, Corporate Governance and Executive Compensation Practice, Sidley Austin LLP
Holly J. Gregory, co-chair of Sidley’s global Corporate Governance and Executive Compensation practice, counsels publicly held, private and not-for-profit corporations on the full range of governance issues, including governance structure and culture, fiduciary duties, risk oversight, conflicts of interest, board and committee structure, board leadership, special committee investigations, CEO transitions, board audits and self-evaluation processes, shareholder activism and initiatives, proxy contests, relationships with shareholders and proxy advisory firms, compliance with legislative, regulatory and listing rule requirements and governance “best practices.” She is frequently called on to advise boards regarding sensitive and unusual matters. While most of the matters she works on are highly confidential, high-profile matters that are in the public record include advising on governance and accountability mechanisms of the Internet Corporation for Assigned Names and Numbers (ICANN) to replace U.S. government oversight, and advising the Board of The Pennsylvania State University on governance reforms.
Holly played a key role in drafting the OECD Principles of Corporate Governance and has advised the Internal Market Directorate of the European Commission on corporate governance regulation, and the joint OECD/World Bank Global Corporate Governance Forum on governance policy for developing and emerging markets. She also drafted the National Association of Corporate Directors (NACD) Key Agreed Principles of Corporate Governance.
In addition to her legal practice and policy efforts, Holly has lectured extensively on governance topics, including at events in Europe and Asia sponsored by the U.S. State Department, International Corporate Governance Network (ICGN), The Conference Board, the NACD, Association of Corporate Counsel, Society for Corporate Governance and Institutional Shareholder Services (ISS). The author of numerous articles on governance topics, she writes the governance column for Practical Law: The Journal.
Holly recently completed her term as chair of the American Bar Association’s (ABA) Corporate Governance Committee. She is a former co-chair of the ABA’s Delaware Law and Business Forum, a former appointed member of the Corporate Laws Committee where she served as co-editor of the Corporate Director’s Guidebook (Sixth Edition). She chaired the ABA task force that delivered the Report on the Delineation of Governance Roles & Responsibilities to Congress and the SEC in 2009. Holly serves on the ABA Business Law Section Council, is a founding trustee and president of The American College of Governance Counsel and is a member of The American Law Institute. She has served as an adjunct professor at Columbia Business School and as a member of multiple NACD Blue Ribbon Commissions.
Holly clerked for the Honorable Roger J. Miner, United States Court of Appeals for the Second Circuit. A summa cum laude graduate of New York Law School and Executive Editor of its Law Review, Holly served on the Board of Trustees of New York Law School from 2009 through 2011.
Former Chief Justice, Delaware Supreme Court; Of Counsel, Potter Anderson
Myron T. Steele is of counsel in the firm's Corporate Litigation Group. He is the former Chief Justice of the Supreme Court of Delaware.
Previously, he served as a Judge of the Superior Court and a Vice Chancellor of the Delaware Court of Chancery after eighteen years in private litigation practice. He has presided over major corporate litigation and LLC and limited partner governance disputes, and writes frequently on issues of corporate document interpretation and corporate governance.
Chief Justice Steele has published over 400 opinions resolving disputes among members of limited liability companies, and limited partnerships, and between shareholders and management of both publicly traded and close corporations. He speaks and writes frequently on issues of corporate document interpretation and corporate governance. His thesis for the LL.M. degree, Judicial Scrutiny of Fiduciary Duties in Delaware Limited Partnerships and Limited Liability Companies, focused on the application of common law fiduciary duties within the contractual framework of alternative business organizations. It was published in the Delaware Journal of Corporate Law (32 Del. J. Corp. L. 1 (2007)). The November 2005 issue of The Business Lawyer included an article he co-authored with Sean J. Griffith entitled On Corporate Law Federalism: Threatening the Thaumatrope (61 Bus. Law. 1 (2005)). He co-authored an article with J.W. Verret entitled Delaware’s Guidance: Ensuring Equity for the Modern Witenagemot published in the Fall 2007 issue of the Virginia Law & Business Review (2 Va. L. & Bus. Rev. 188 (2007)). That article formed the basis for a keynote speech to the Business Law Section at the 2007 ABA Annual Meeting.
For the last ten years he served as judicial advisor to the Mergers and Acquisitions Committee of the ABA Business Law Section. He also co-authored an article entitled “Freedom of Contract and Default Contractual Duties in Delaware Limited Partnerships and Limited Liability Companies” (46 Am. Bus. L.J. 221 (Summer 2009)) and an essay entitled “The Moral Underpinning of Delaware’s Modern Corporate Fiduciary Duties” (26 Notre Dame J.L. Ethics & Pub. Pol’y 3 (2012)).
Chief Justice Steele served as Adjunct Professor of Law at University of Pennsylvania Law School from 2009–2013; University of Virginia Law School 2010–2017; and Pepperdine University Law School 2010–2014.
Executive Director, ESG Center, The Conference Board
Paul Washington joined The Conference Board in June 2019 as Executive Director of the ESG Center, a non-profit think tank that focuses on corporate governance, sustainability, and corporate citizenship and philanthropy.
His career has spanned the private, governmental, academic, and non-profit sectors. Before joining the ESG Center, Paul spent nearly 20 years at Time Warner Inc., serving for most of that time as Senior Vice President, Deputy General Counsel, and Corporate Secretary. He also served as Chief of Staff for the company’s Chairman and CEO. In addition to his tenure at Time Warner, Washington practiced law at the firm of Sidley & Austin and served as Vice President and Corporate Secretary of The Dime Savings Bank of New York.
In terms of public service, Paul’s served as a law clerk for former Supreme Court Associate Justices William Brennan and David Souter, and for Circuit Court Judge David Tatel. He worked on Capitol Hill for former U.S. Representative Stanley Lundine and, later, as his principal speechwriter when Lundine served as New York’s Lieutenant Governor, as well as for U.S. Senators Walter D. Huddleston and Jacob Javits. He has also served in local government in both paid and volunteer capacities.
Paul taught corporate governance as an Adjunct Professor at Fordham Law School for over a decade and has served on the boards of over 25 non-profit organizations. He was also a long-time active member of The Conference Board, including chairing its Advisory Board on Corporate/Investor Engagement.
Paul graduated magna cum laude from each of Yale College and Fordham University School of Law.
Tenth Annual Executive Branch Review Conference —EBRX
The Administrative State, Law, and Culture
Washington, DCTopics
New Webinar: "FTC's Revolution Through Rulemaking"
In November, the Federalist Society’s Regulatory Transparency Project presented a panel discussion on the history...
Deep Dive Episode 203 – FTC’s Revolution Through Rulemaking
Corbin K. Barthold, William Blumenthal, Andrew Stivers, Svetlana Gans
The FTC is undertaking an ambitious and historic effort to craft de novo competition and...
FTC’s Revolution Through Rulemaking
A Regulatory Transparency Project Webinar
TeleforumFTC’s Revolution Through Rulemaking
Corbin K. Barthold, William Blumenthal, Svetlana Gans, Andrew Stivers
The FTC is undertaking an ambitious and historic effort to craft de novo competition and...
Panel Two: The Shareholder and Stakeholder Views Today
The Shareholder and Stakeholder Symposium
Washington, DCPanel Two: The Shareholder and Stakeholder Views Today
Geoffrey Colvin, Charles Elson, Myron T. Steele, Paul Washington, Holly J. Gregory
A panel of scholars and practitioners will offer their divergent views on what the shareholder...
The U.S. Senate Filibuster: A Feature of or Impediment to Democracy?
Martin B. Gold, Jon Kyl, Peter Roskam
Then-Senator Biden said in 2005 that “American citizens have benefited from the Senate’s check on...
The U.S. Senate Filibuster: A Feature of or Impediment to Democracy?
Martin B. Gold, Jon Kyl, Peter Roskam
Then-Senator Biden said in 2005 that “American citizens have benefited from the Senate’s check on...
Necessary & Proper Episode 69: The U.S. Senate Filibuster – A Feature of or Impediment to Democracy?
Martin B. Gold, Jon Kyl, Peter Roskam
Then-Senator Biden said in 2005 that “American citizens have benefited from the Senate’s check on...