Speakers at a Glance
Doug Anderson, Chief Compliance Officer, Canyon Capital Advisors
Mark Borrelli, Partner, Sidley Austin LLP
Paula Bosco, Director of Compliance, New Mountain Capital, LLC
Michael Butowsky, Partner, Mayer Brown LLP
Vincent Calcagno, Principal, Rothstein Kass
H. Dandridge Campbell, Assistant Regional Director – Examinations, Atlanta Regional Office, U.S. Securities and Exchange Commission
Marco Collazos, Chief Compliance Officer, Bulltick Securities, LLC
Theodore Eichenlaub, Partner, ACA Compliance Group
Janette L Filbert, Vice President & Compliance, Prudential Investment Management, Inc.
Kevin Goodman, Associate Regional Director, Denver Regional Office, U.S. Securities and Exchange Commission (invited)
Jeffrey Green, Director of Compliance and Senior Consultant, Laserfiche
Barry Greenberg, Partner, Akin Gump Strauss Hauer & Feld LLP
Gregory Hegerich, Compliance Manager, Bain Capital Partners, LLC
Alicia Hyde, Managing Director, ACA Compliance Group – Beacon Verification Services
Michelle Jacko, Chief Executive Officer, Core Compliance & Legal Services, Inc.
Leo Karwejna, Vice President & Chief Compliance Officer, Prudential Real Estate Investors
Laurin Blumenthal Kleiman, Partner, Sidley Austin LLP
Eric Komitee, General Counsel, Viking Global Investors, LP
Cary Meer, Partner, K&L Gates LLP
Kelli Moll, Partner, Schulte Roth & Zabel LLP
Jeff Morton, Partner, ACA Compliance Group
Martin Murphy, Assistant Regional Director, Los Angeles Regional Office, U.S. Securities and Exchange Commission
Marianne O’Doherty, Chief Compliance Officer, Smith Breeden Associates, Inc.
Margaret Paradis, Partner, Partner, Baker & McKenzie, LLP
Amanda Persaud, Counsel, Wachtell, Lipton, Rosen & Katz
Jack Rader, Principal Consultant, ACA Compliance Group
Matthew Reynolds, Chief Compliance Officer, Hightower Advisors, LLC
Lisa Roth, Chief Executive Officer, Keystone Capital Corporation
Brian Rubin, Partner, Sutherland Asbill & Brennan LLP
Kevin J. Power, Managing Director of Compliance, Commonfund
Darin Sadow, Director and Chief Compliance Officer, Citadel Asset Management
Christopher G. Samios, Esq., Chief Compliance Officer, Greywolf Capital Management LP
Jose Sanchez, Partner, Sidley Austin LLP
Robert Stype, Managing Partner, ACA Compliance Group
Michelle Thetford, Director of Compliance,Charles Schwab & Co.
Gary Watkins, Partner, ACA Compliance Group
Ron Weekes, Chief Executive, Blueprint Compliance

