March 8, 2018

New York, NY

Legal & Compliance 2018 Conference Speakers

Benjamin Allensworth
Associate General Counsel
Managed Funds Association

Michael A. Asaro
Partner
Akin Gump Strauss Hauer & Feld LLP

Michael B. Barry
General Counsel & Chief Compliance Officer
Samlyn Capital, LLC

Marc Baum
Chief Administrative Officer and General Counsel
Serengeti Asset Management

Brooke Bernstein
Legal Director, Quantitative Trading & Associate General Counsel
Tudor Investment Corporation

Joe Bianco
Tax Principal
Ernst & Young

W. Hardy Callcott
Partner
Sidley Austin LLP

Brad Carpenter
Supervisory Special Agent
FBI Cyber Division

Paul Cellupica
Deputy Director, Division of Investment Management
U.S. Securities and Exchange Commission

Whitney A. Chatterjee
Partner
Sullivan and Cromwell LLP

Sara Cortes
Investment Adviser Regulation Office, Assistant Director
SEC

Pat Criscillo
Chief Financial Officer
Brigade Capital Management, LP

Jonathan Danziger
General Counsel & Chief Compliance Officer
Glenview Capital Management

Daniel A. Driscoll
Executive Vice President, Chief Operating Officer
National Futures Association (NFA)

Marc Elovitz
Partner
Schulte Roth & Zabel

Samantha V. Ettari
Special Counsel
Kramer Levin Naftalis & Frankel LLP

Shawn Fagan
Chief Legal Officer and Managing Director
Citadel LLC

James Feeney
Chief Compliance Officer
Slate Path Capital LP

Steven M. Felsenthal
General Counsel and Chief Compliance Officer
Millburn Ridgefield Corporation

Michael Fisch
General Counsel
Farallon Capital Management, L.L.C.

Askari Foy
Managing Director
ACA Aponix

Israel Friedman
General Counsel and Chief Compliance Officer
Kensico Capital Management, Corp.

James Gange
Managing Director, Chief Compliance Officer and Legal Counsel
DavidsonKempner Capital Management LP

J. Christopher Giancarlo
Chairman
United States Commodity Futures Trading Commission

Helene Glotzer
Chief Compliance Officer
Bridgewater Associates, LP

Peter Greene
Partner and Vice Chair, Investment Management Group
Lowenstein Sandler LLP

Tracy Richelle High
Partner
Sullivan & Cromwell LLP

Tim Howard
Co-Chief, Complex Frauds and Cybercrime Unit
U.S. Attorney's Office, Southern District of New York Office (SDNY)

Brendan R. Kalb
Partner
Morgan, Lewis & Bockius LLP

Bruce Karpati
Member, Global Chief Compliance Officer
Kohlberg Kravis Roberts

Elizabeth Keeley
Chief Operating Officer & General Counsel
Taconic Capital Advisors LP

Joon H. Kim
Partner
Cleary Gottlieb Steen & Hamilton LLP

David Landers
Executive Vice President and Managing Director
Managed Funds Association

Dov Lando
General Counsel
MKP Capital Management

Chris LaVigne
Partner
Shearman & Sterling LLP

Michael Lehman
Partner
ACA Surveillance Technology

Marc Lisker
Partner & Chief Legal Officer
MSD Partners

Thomas P. Lloyd
General Counsel
Campbell & Company, LP

Neil Margolies
General Counsel
Tilden Park Capital Management LP

Daniel R. Margolis
General Counsel
Ellington Management Group

Jon May
General Counsel and Head of Compliance
Marshall Wace LLP

James McDonald
Director, Division of Enforcement
CFTC

Serena McMullen
Senior Associate
Aosphere LLP, an affiliate of Allen & Overy LLP

Martha Mensoian
General Counsel and Chief Compliance Officer
Three Bays Capital LP

Rita M. Molesworth
Partner
Willkie, Farr & Gallagher LLP

Michael C. Neus
General Counsel
ExodusPoint Capital Management LP

Leonard Ng
Partner
Sidley Austin, LLP

Kevin J. O’Connor
Chief Legal Officer
Point72 Asset Management

Christie Farris Oberg
Deputy Chief Compliance Officer, Senior Counsel
CarVal Investors

Terrance J. O’Malley
General Counsel
Blue Ridge Capital, L.L.C.

Mark Peckman
General Counsel
Schonfeld Strategic Advisors LLC

Steven Peikin
Co-Director
U.S. Securities and Exchange Commission's Division of Enforcement

Scott D. Pomfret
Regulatory Counsel and Chief Compliance Officer
Highfields Capital Management

Hon. Jed S. Rakoff
U.S.D.J., The United States Courts

Gil Raviv
Global General Counsel
Millennium Management LLC

Scott A. Resnik
Partner
Katten Muchin Rosenman LLP

Donna Rix
General Counsel and Managing Director
Citadel Europe

Erin Ross
General Counsel and Chief Compliance Officer
Hitchwood Capital Management LP

Joseph Sansone
Chief, The Division of Enforcement's Market Abuse Unit
SEC

Kevin P. Scanlan
Partner
Kramer Levin Naftalis & Frankel LLP

Adam Schreck
General Counsel
Discovery Capital Management, LLC

Scott Sherman
General Counsel
Tiger Management L.L.C.

Matt Siano
Managing Director and General Counsel
Two Sigma Investments, LLC

David Sobol
General Counsel and Chief Compliance Officer
Moon Capital Management LP

Stacey Song
Senior Counsel, Private Funds Branch
SEC

Alexander H. Southwell
Partner
Gibson Dunn & Crutcher

Bill Squier
Senior Vice President and Chief Security Officer
Two Sigma Investments, LLC

Kate Squire
Global Head of Compliance and Regulatory
Man Group

Randy Stuzin
General Counsel
King Street Capital Management, L.P.

Richard Swanson
Managing Director, General Counsel
York Capital Management

Nathan Thomas
Managing Director Chief Compliance Officer & Counsel
D. E. Shaw & Co., L.P

K. Brent Tomer
Chief Trial Attorney
US Commodity Futures Trading Commission Division of Enforcement, Eastern Regional Office

David A. Vaughan
Partner
Dechert LLP

Karl Wachter
General Counsel
Magnetar Capital

Eric Wagner
Partner
Kleinberg, Kaplan, Wolff & Cohen, P.C.

Stephen N. Waldman
General Counsel
Tudor Investment Corporation

Richard Walz
General Counsel & Chief Compliance Officer
Element Capital Management LLC

Nicola Watson
Managing Director, Americas
Winton Capital Management Ltd.

Joel A. Wattenbarger
Partner
Ropes & Gray LLP

Jeffrey H. Wechselblatt
General Counsel, Chief Compliance Officer
Lone Pine Capital LLC

Holly H. Weiss
Partner
Schulte Roth & Zabel

Kirk Wickman
President
Angelo, Gordon & Co., L.P.

E.J. Yerzak
Director of Cyber IT Services, Partner
Compliance Solution Strategies

Richard B. Zabel
General Counsel and Chief Legal Officer
Elliott Management Corporation

Matthew Zweig
General Counsel & Chief Compliance Officer
Valinor Management,L.P.