2010 Faculty

Chair

Homer E. Moyer, Jr.
Miller & Chevalier Chartered

Speakers

Manny Alas
Partner, Forensic Services
PricewaterhouseCoopers LLP

Nicola Bonucci
Director of Legal Affairs
OECD (Paris)

William A. Burck
Weil, Gotshal & Manges LLP

Patricia Byrne
Counsel, International and Domestic Compliance
BAE Systems

Raja Chatterjee
Executive Director
Morgan Stanley

Katherine Choo
Senior Counsel, Litigation and Legal Policy
General Electric

Peter Clark
Cadwalader Wickersham & Taft LLP

Amy J. Conway-Hatcher
Morgan Lewis LLP

Samuel W. Cooper
Baker Botts LLP

Richard N. Dean
Baker & McKenzie LLP

Louise Delahunty
Simmons & Simmons (London)

Timothy L. Dickinson
Paul, Hastings, Janofsky & Walker LLP

Charles Duross
Assistant Chief, Fraud Section – Criminal Division
U.S. Department of Justice

Reid M. Figel
Kellogg, Huber, Hansen, Todd, Evans & Figel, PLLC

Stephen Fishbein
Sherman & Sterling LLP

Mark R. Filip
Kirkland & Ellis LLP

Claudia J. Gilman
Vice President and General Counsel, International
Boston Scientific

Douglas N. Greenberg
Latham & Watkins LLP

Richard W. Grime
O’Melveny & Myers LLP

Jannette E. Hasan
Senior Counsel - International Law Department
Northrop Grumman Corporation

Gerald W. Hodgkins
Assistant Director – Division of Enforcement
U.S. Securities and Exchange Commission

William B. Jacobson
Vice President, Chief Compliance Officer
Weatherford International

Peter E. Jaffe
Chief Ethics and Compliance Officer
The AES Corporation

David Krakoff
Mayer Brown LLP

Doug Lankler
Senior Vice President, Chief Compliance Officer
Pfizer

Lucinda A. Low
Steptoe & Johnson LLP

Jay G. Martin
Vice President, Chief Compliance Officer & Senior Deputy General Counsel
Baker Hughes

Mark F. Mendelsohn
Deputy Chief, Fraud Section - Criminal Division
U.S. Department of Justice

Frederic R. Miller
Partner, Forensic Services
PricewaterhouseCoopers LLP

Nicola J. Mrazek
Trial Attorney, Fraud Section – Criminal Division
U.S. Department of Justice

Tracy L. Price
Branch Chief – Division of Enforcement
U.S. Securities and Exchange Commission

Susan Ringler
Senior Counsel for International Compliance
ITT

Cheryl Scarboro
Associate Director – Division of Enforcement
U.S. Securities and Exchange Commission

Stephen J. Shine
Chief Regulatory Counsel
The Prudential Insurance Company of America

Claudius Sokenu
Arnold & Porter LLP

Howard E. Sullivan III
Legal Counsel - Consultant

Julia C. Symon
Director of Compliance
KBR, Inc.

Philip Urofsky
Partner
Shearman & Sterling LLP

Hank Bond Walther
Assistant Chief, Fraud Section – Criminal Division
U.S. Department of Justice

Glenn T. Ware
Managing Director, Forensic Services
PricewaterhouseCoopers LLP

Martin Weinstein
Willkie, Farr & Gallagher LLP

Howard Weissman
Vice President and Assistant General Counsel – International
Lockheed Martin Corporation

Roger M. Witten
Wilmer Cutler Pickering Hale and Dorr LLP

Alexandra Wrage
President
Trace International

Wendy Wysong
Partner
Clifford Chance LLP

Bruce E. Yannett
Debevoise & Plimpton LLP