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Speakers

  • Melissa Andrews, Managing Director, General Counsel, R.J. O’Brien & Associates
  • Paul Architzel, Partner, WilmerHale
  • Stephan Ariyan, Vice President, Market Compliance & Chief Compliance Counsel, Olam International
  • Robert Armour, Chief Compliance Officer, DRW Trading
  • Ruth Arnould, Director & Assistant General Counsel, Bank of America Merrill Lynch
  • Geoffrey Aronow, Partner, Sidley Austin
  • Christian Artmann, Managing Director & Associate General Counsel, Deutsche Bank Securities
  • Jeffrey Bandman, Acting Director, Division of Clearing & Risk, Commodity Futures Trading Commission
  • Bruce Beatus, Director & Associate General Counsel, Bank of America Merrill Lynch
  • Brandon Becker, Senior Counsel, WilmerHale
  • Randy Benjenk, Associate, Covington & Burling
  • Kenneth Berg, Partner, Ulmer & Berne
  • Dan Berkovitz, Partner, WilmerHale
  • Tammy Botsford, Vice President & Assistant General Counsel, J.P. Morgan
  • Blake Brockway, Assistant General Counsel & Vice President, Bank of America Merrill Lynch
  • Michelle Broom, Executive Director, Risk Management Group, Compliance, Macquarie Group, and Chief Compliance Officer, Macquarie Futures USA
  • Cynthia Cain Ioannacci, Senior Attorney, National Futures Association
  • Lael Campbell, Director, Regulatory Affairs & Market Policy, Exelon
  • Rosario Chiarenza, Executive Director, Head of Regulatory Reform Strategy, Morgan Stanley
  • Maria Chiodi, Managing Director & Counsel, Legal & Compliance, Credit Suisse Securities
  • Patricia Corley, Deputy Director, Litigation, Enforcement & Investigations, Societe Generale
  • Julian Courtney, Global Head of Compliance & Legal, ED&F Man Capital Markets
  • Patricia Cushing, Director, Compliance, National Futures Association
  • Jon Debord, Senior Vice President & Assistant General Counsel, Citigroup Global Markets
  • Gary DeWaal, Special Counsel, Katten Muchin Rosenman
  • Patricia Donahue, Senior Vice President, Chief Compliance Officer & Regulatory Counsel, Rosenthal Collins Group
  • Daniel Driscoll, Executive Vice President & Chief Operating Officer, National Futures Association
  • Kara Dutta, Assistant General Counsel, Intercontinental Exchange
  • Athena Eastwood, Partner, Cadwalader, Wickersham & Taft
  • Ronald Filler, Professor of Law & Director of Financial Services Law Institute, New York Law School
  • Eileen Flaherty, Director, Division of Swap Dealer & Intermediary Oversight, Commodity Futures Trading Commission
  • Kevin Foley, Partner, Katten Muchin Rosenman
  • Jason Fusco, Assistant General Counsel, Market Regulation, ICE Futures U.S.
  • William Gerlesits, Chief Compliance Officer, Societe Generale
  • Rick Glaser, Deputy Director, Division of Enforcement, Commodity Futures Trading Commission
  • Daniel Glatter, Global Head of Compliance, Markets Group, BNY Mellon
  • Geoff Goodman, Partner, Foley & Lardner
  • Seth Grosshandler, Partner, Cleary Gottlieb Steen & Hamilton
  • Alexandra Guest, Legal Consultant, HSBC Securities
  • Maureen Guilfoile, Executive Director & Associate General Counsel, CME Group
  • Arthur Hahn, Partner, Katten Muchin Rosenman
  • Julian Hammar, Of Counsel, Morrison & Foerster
  • Douglas Harris, Managing Director, Promontory Financial Group
  • Stacie Hartman, Partner, Schiff Hardin
  • Joseph Hawrysz, Executive Director, Global Market Surveillance, CME Group
  • Ali Hosseini, Executive Director, J.P. Morgan
  • Steve Humenik, Of Counsel, Covington & Burling
  • Kim Johns, Vice President & Associate General Counsel, Goldman Sachs
  • Vincent Johnson, Head of Regulatory & Policy Affairs, BP
  • Tracey Jordal, Executive Vice President & Attorney, PIMCO
  • Anne Joves, Senior Director, Associate General Counsel, Technology and Operations, CME Group

  • Christian Kemnitz, Partner, Katten Muchin Rosenman
  • David King, Director, Compliance, Credit Suisse Securities
  • Chris Kiplok, Partner, Hughes Hubbard & Reed
  • Robert Klein, Managing Director & Counsel, Citigroup Global Markets
  • Richard Krasnow
  • Neal Kumar, Associate, Cadwalader, Wickersham & Taft
  • Nathaniel Lalone, Partner, Katten Muchin Rosenman UK
  • Robert Laorno, General Counsel, Credit and Processing Businesses, Intercontinental Exchange
  • Kari Larsen, General Counsel & Chief Regulatory Officer, LedgerX
  • Thomas LaSala, Managing Director, Chief Regulatory Officer, CME Group
  • John Lawton, Deputy Director, Division of Clearing & Risk, Commodity Futures Trading Commission
  • Vincent Lazar, Partner, Jenner & Block
  • Andrew Levine, Senior Vice President & Senior Counsel, PIMCO
  • Matt Lisle, Director, Futures Chief Compliance Officer, ABN AMRO Clearing Chicago
  • Bonnie Litt, Managing Director & Associate General Counsel, Goldman Sachs
  • Colin Lloyd, Partner, Cleary Gottlieb Steen & Hamilton
  • Steven Lofchie, Partner, Cadwalader, Wickersham & Taft
  • Gretchen Lowe, Principal Deputy Director & Chief Counsel, Division of Enforcement, Commodity Futures Trading Commission
  • Allison Lurton, General Counsel & Senior Vice President, FIA
  • Julie Mao, Director & Counsel, Credit Suisse Securities
  • Jonathan Marcus, General Counsel, Office of the General Counsel, Commodity Futures Trading Commission
  • Renato Mariotti, Assistant United States Attorney, U.S. Department of Justice
  • David Martinez, Vice President, General Counsel Department, Credit Suisse Securities
  • Charles Marvine, Deputy Director, Division of Enforcement, Commodity Futures Trading Commission
  • Jai Massari, Associate, Davis Polk
  • William McCoy, Managing Director, Morgan Stanley
  • Amy McCormick, Managing Director of Compliance, National Futures Association
  • Vince McGonagle, Director, Division of Market Oversight, Commodity Futures Trading Commission
  • Edward McNicholas, Partner, Sidley Austin
  • Hina Mehta, Executive Director & Counsel, Legal Department, UBS Securities
  • Dorothy Mehta, Partner, Cadwalader, Wickersham & Taft
  • David Meister, Partner, Skadden, Arps, Slate, Meagher & Flom
  • Jackie Mesa, Senior Vice President, Global Policy, FIA
  • Charles Mills, Partner, Steptoe & Johnson
  • David Mitchell, Partner, Fried, Frank, Harris, Shriver & Jacobson
  • Rita Molesworth, Partner, Willkie Farr & Gallagher
  • Stephen Montgomery, Director, Wells Fargo Securities
  • Jim Moran, Executive Director, Global Markets Regulation, CME Group
  • Stephen Morris, Executive Director, Legal & Compliance, Morgan Stanley
  • Vito Naimoli, Manager, Market Regulation, ICE Futures US
  • Andrew Nash, Executive Director, Legal Department, Morgan Stanley
  • Annette Nazareth, Partner, Davis Polk & Wardwell
  • Deborah North, Partner, Allen & Overy
  • Stephen Obie, Partner, Jones Day
  • Amanda Olear, Associate Director, Registration & Compliance Branch, Commodity Futures Trading Commission
  • Ronald Oppenheimer, Senior Vice President & General Counsel, Vitol
  • Rick Ostrander, Managing Director, Legal & Compliance, BlackRock
  • Michael Otten, Executive Director, Legal, Nomura Securities International
  • Eric Pan, Director, Office of International Affairs, Commodity Futures Trading Commission
  • Paul Pantano, Partner, Cadwalader Wickersham & Taft
  • Christine Parker, Associate, Sullivan & Cromwell
  • Michael Parodi, Director, Credit Suisse Securities
  • Nihal Patel, Associate, Cadwalader, Wickersham & Taft
  • Bob Paul, General Counsel, Chicago Probability of Default Market
  • Jamila Piracci, Vice President of OTC Derivatives, National Futures Association
  • Michael Piracci
  • Sebastian Pujol-Schott, Associate Director, Division of Market Oversight, Commodity Futures Trading Commission
  • Kenneth Raisler, Partner, Sullivan & Cromwell
  • Scott Reinhart, Senior Attorney, Cleary Gottlieb Steen & Hamilton
  • Erik Remmler, Deputy Director, Registration and Compliance, Division of Swap Dealer & Intermediary Oversight, Commodity Futures Trading Commission
  • Michael Sackheim, Partner, Sidley Austin
  • Steven Schwartz, Executive Director, Global Enforcement, CME Group
  • Thomas Sexton, Senior Vice President, General Counsel, National Futures Association
  • Yousuf Siddiqui, Executive Director & Assistant General Counsel, J.P. Morgan
  • Mitja Siraj, Vice President of Legal, Europe, FIA
  • Thomas Smith, Deputy Director & Chief Accountant, Capital, Margin & Segregation Branch, Division of Swap Dealer and Intermediary Oversight, Commodity Futures Trading Commission
  • Robert Sniegowski, Executive Director, Rules & Regulatory Outreach, CME Group
  • Dale Spoljaric, Managing Director, Compliance, National Futures Association
  • Suzanne Sprague, Managing Director, Credit Risk, Banking & Solutions, CME Group
  • Scott Taylor, Managing Director, Compliance, Wells Fargo Securities
  • Owen Taylor, Head of Legal - Rates & ForexClear, LCH.Clearnet
  • Lauren Teigland-Hunt, Managing Partner, Teigland-Hunt
  • Regina Thoele, Senior Vice President, Compliance, National Futures Association
  • William Thum, Principal, Global Head of Derivatives Legal and Regulatory, Vanguard
  • Kathryn Trkla, Partner, Foley & Lardner
  • Marcia Tu, Director of Compliance Strategy Implementation, Credit Suisse
  • Margaret Vaden, Vice President & Associate General Counsel, Goldman Sachs
  • Yvette Valdez, Counsel, Latham & Watkins
  • Matt VosBurgh, Vice President, Barclays
  • Daniel Waldman, Senior Counsel, Arnold & Porter
  • Dan Walfish, Special Counsel, Milbank Tweed Hadley & McCloy
  • Kristyn Walker, Vice President & Senior Legal Counsel, Deutsche Bank
  • Bob Wasserman, Chief Counsel, Division of Clearing and Risk, Commodity Futures Trading Commission
  • John Williams, Partner, Milbank, Tweed, Hadley & McCloy
  • Greg Wood, Director, Algorithmic Execution Listed Derivatives & Foreign Exchange, Deutsche Bank Securities
  • Chris Zuehlke, Director of Front Office Technology, DRW Trading

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