April 24, 2019

New York, NY


Michael A. Asaro
Akin Gump Strauss Hauer & Feld LLP

Stephanie Avakian
Co-Director, Division of Enforcement
U.S. Securities and Exchange Commission (SEC)

Raj Bakhru
ACA Aponix

Marc Baum
Chief Administrative Officer and General Counsel
Serengeti Asset Management

Brian A. Benczkowski
Assistant Attorney General, Criminal Division
U.S. Department of Justice

Stephen Berger
Managing Director, Global Head of Government and Regulatory Policy
Citadel LLC

Dalia Blass
Director, Division of Investment Management
U.S. Securities and Exchange Commission

Matthew H. Bloom
Chief Compliance Officer & Associate General Counsel
Viking Global Investors LP

Matthew Bogart
General Counsel and Chief Compliance Officer
CarVal Investors LLC

Daniel J. Bucsa
Chief of Staff and Senior Policy Advisor for Commissioner Dawn D. Stump
Commodity Futures Trading Commission (CFTC)

Sasha Burstein
K&L Gates LLP

Keith Cassidy
Associate Director, Office of Compliance Inspections and Examinations
U.S. Securities and Exchange Commission

Whitney A. Chatterjee
Sullivan and Cromwell LLP

Neel Chopra
Special Counsel to the Director of Enforcement
U.S. Commodity Futures Trading Commission (CFTC)

Charles J. Clark
Schulte Roth & Zabel LLP

Brian Daly
Schulte Roth & Zabel LLP

Aaron Daniels
General Counsel & Chief Compliance Officer
Brigade Capital Management, LP

Jennifer A. Duggins
Assistant Director, Co-Head, Private Funds Unit, Office of Compliance Inspections & Examinations
U.S. Securities and Exchange Commission

Shawn Fagan
Chief Legal Officer and Managing Director
Citadel LLC

William Fenrich
Principal and Chief Legal Officer
AQR Capital Management, LLC

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

Lucy Frew
Walkers Global

Elizabeth Shea Fries
Sidley Austin LLP

Andrew Genser
General Counsel
Viking Global Investors LP

Helene Glotzer
Chief Compliance Officer
Bridgewater Associates, LP

Noah Goldberg
Managing Director & Senior Deputy General Counsel
Citadel LLC

Richard Grant
Global Head of Regulatory and Government Affairs Associate General Counsel
AQR Capital Management, LLC

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

Joseph A. Hearn
Sullivan & Cromwell LLP

Scott Hendler
Associate General Counsel
Viking Global Investors LP

Alison Horton
Managing Director, Legal Counsel
DavidsonKempner Capital Management LP

Jane Jarcho
Special Adviser
Promontory Financial Group

Bruce Karpati
Member, Global Chief Compliance Officer
Kohlberg Kravis Roberts

Arielle Warshall Katz
Special Counsel
Kramer Levin Naftalis & Frankel LLP

Hunter R. Landrum
Government Affairs Counsel
Two Sigma Investments, LP

Robert G. Leonard
Proskauer Rose LLP

Marc Lisker
Partner & Chief Legal Officer
MSD Partners

Thomas P. Lloyd
General Counsel
Campbell & Company, LP

Daniel R. Margolis
General Counsel
Ellington Management Group

Brian Meyer
General Counsel
Fir Tree Partners

Elizabeth L. Mitchell

Molly Moore
Ropes & Gray LLP

David Moss
Senior Vice President & Counsel
The D.E. Shaw Group

Michael C. Neus
General Counsel
ExodusPoint Capital Management, LP

Leonard Ng
Sidley Austin, LLP

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

Mark Peckman
General Counsel
Schonfeld Strategic Advisors LLC

Hester Peirce
U.S. Securities and Exchange Commission

Kevin Pleiter
Grant Thornton LLP

Justine Plenkiewicz
Head of the Policy and Development Division
Cayman Islands Monetary Authority (CIMA)

Mark Polemeni
Chief Compliance Officer & Chief Regulatory Counsel
Perella Weinberg

Edward Price
Head of Financial Sector & Economic Policy Department for International Trade
British Consulate-General

Brian Quintenz
U.S. Commodity Futures Trading Commission

Gil Raviv
Global General Counsel
Millennium Management LLC

Simon Raykher
General Counsel
Kepos Capital LP

Gregory S. Rowland
Davis Polk & Wardwell LLP

Kim Rozman
Associate General Counsel
HBK Capital Management

Kevin P. Scanlan
Kramer Levin Naftalis & Frankel LLP

Mark Schein
Managing Director, Chief Compliance Officer
York Capital Management

Aaron Schlaphoff
Kirkland & Ellis LLP

Owen Schmidt
Valinor Management, L.P.

Jude Scott
Cayman Finance

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

Matt Siclari
General Counsel / Chief Compliance Officer
Balyasny Asset Management, L.P

Steven Smith
Chief Operating Officer and General Counsel
PAR Capital Management, Inc.

Flaurine St. Louis
Chief Compliance Officer
Taconic Capital

Richard Swanson
Managing Director, General Counsel
York Capital Management

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

Karl Wachter
General Counsel
Magnetar Capital

Audrey Wagner
Dechert LLP

Stephen N. Waldman
General Counsel
Tudor Investment Corporation

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

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

Dede Welles
General Counsel
PDT Partners, LLC

Danny West
Vice President & Counsel
Two Sigma

Carol Wooding
Vice President and General Counsel
National Futures Association (NFA)

John H. Wu
Principal, Legal Counsel
Davidson Kempner Capital Management LP

Tracey Brady Yurko
Chief Legal Officer and Secretary
Bridgewater Associates, LP

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

Joseph D. Zargari
Morgan, Lewis & Bockius LLP