Janet M. Angstadt Partner West Monroe Street Chicago, IL Practices Industries Education

Similar documents
Kenneth M. Rosenzweig

Emily Stern. Partner Madison Avenue New York, NY Practices. Industries. Selected Experience

Bruce M. Sabados. Partner Madison Avenue New York, NY Practices. Industries.

AUDIT COMMITTEE OF IRON MOUNTAIN INCORPORATED CHARTER

Upcoming Regulatory Changes Monday, May 21 1:45 p.m. 2:45 p.m.

Regulatory Notice 09-19

NEW YORK STOCK EXCHANGE LLC LETTER OF ACCEPTANCE, WAIVER, AND CONSENT NO

Bourse de Montréal Inc. 3-1 RULE THREE APPROVED PARTICIPANTS. I. General Provisions

muia'aiena ED) wnrn 8 UNITED STATES DISTRICT COURT 9 CENTRAL DISTRICT OF CALIFORNIA

SCHEDULE A. member means a member of the MFDA; (membre)

The Dodd-Frank Wall Street Reform and Consumer Protection Act: Executive Compensation

Exhibit A. Explanation and Analysis of Cboe SEF, LLC Rule Changes

Exhibit A. Explanation and Analysis of Bats Hotspot SEF LLC Rule Changes

Special Notice Involvement and Election Process Overview. February 1, Summary. Suggested Routing. Executive Representatives

Cboe Futures Exchange, LLC Organization Trading Privilege Holder Application (Foreign)

EASTMAN CHEMICAL COMPANY. Compensation and Management Development Committee Charter

THE SECURITIES ACT (Consolidated version with amendments as at 22 December 2012)

ITRON, INC. COMPENSATION COMMITTEE CHARTER Revised December 14, 2017

Advocacy / Membership / Events. 3Q 2018 Fiscal Year

IMPLEMENTATION SCHEDULE

N E W Y O R K S T O C K E X C H A N G E, I N C.

VERINT SYSTEMS INC. COMPENSATION COMMITTEE CHARTER. Dated: November 28, 2017 I. PURPOSE

BATS BYX EXCHANGE, INC. LETTER OF ACCEPTANCE, WAIVER AND CONSENT NO ACCEPTANCE AND CONSENT

Huntington Bancshares Incorporated Subject: Risk Oversight Committee Charter Number: CH-006

DANA INCORPORATED COMPENSATION COMMITTEE CHARTER

CIT Group Inc. Charter of the Audit Committee of the Board of Directors. Adopted by the Board of Directors October 22, 2003

Bylaws of Dalian Commodity Exchange

KEY ENERGY SERVICES, INC. CHARTER OF COMPENSATION COMMITTEE OF THE BOARD OF DIRECTORS. Amended November 19, 2015

CHUY S HOLDINGS, INC. COMPENSATION COMMITTEE CHARTER

Description. Contact Information. Signature. SECURITIES AND EXCHANGE COMMISSION WASHINGTON, D.C Form 19b-4. Page 1 of * 20

Capital Markets (Amendment) Act, 2011 LAWS OF KENYA. Published by the National Council for Law Reporting with the Authority of the Attorney-General

CUMULUS MEDIA INC. COMPENSATION COMMITTEE CHARTER

Audit Committee Charter of the Audit Committee of the Board of Directors of JetBlue Airways Corporation

Rule 8200 Enforcement Proceedings Introduction Definitions PART A - GENERAL Hearings

Bourse de Montréal Inc. 3-1 RULE THREE APPROVED PARTICIPANTS. I. General Provisions

BAR HARBOR BANKSHARES COMPENSATION AND HUMAN RESOURCES COMMITTEE CHARTER

CBOE SEF, LLC RULEBOOK

Neptune s Compliance with the UK Stewardship Code

PUBLIC LAW JULY 30, STAT. 745

Archipelago Trading Services, Inc.

TEMPLATE: DO NOT SEND TO NFA NATIONAL FUTURES ASSOCIATION

BLOOMBERG TRADING FACILITY LIMITED BMTF RULEBOOK

NASD Notice to Members Executive Summary

FTS INTERNATIONAL, INC. COMPENSATION COMMITTEE CHARTER

PROXY STATEMENT DISCLOSURE CONTROLS 1

By-Laws of the Supervisory Board of Zakłady Tłuszczowe "KRUSZWICA" Spółka Akcyjna with its registered office in Kruszwica

RESMED INC. COMPENSATION COMMITTEE CHARTER. The ResMed Inc. board of directors adopted this compensation committee charter on February 16, 2018.

Rules Notice Request for Comment

YUM! Brands, Inc. Charter of the Audit Committee of the Board of Directors

RULES OF THE DISCIPLINARY COMMITTEE NASDAQ ICELAND HF.

NYSE BOARD OF DIRECTORS APPROVES NEW CORPORATE GOVERNANCE AND DISCLOSURE STANDARDS AUGUST 23, 2002 S IMPSON THACHER & BARTLETT LLP

Annex A. Proposed National Instrument Security Holder Rights Plans. Table of Contents

CREE, INC. Audit Committee Charter. The Audit Committee (the Committee ) is a standing committee of the Board of Directors appointed:

Northern Trust Corporation Corporate Governance Guidelines Effective July 17, 2012

ALL NYSE MKT MEMBERS AND MEMBER ORGANIZATIONS ALL NYSE AMEX OPTIONS ATP HOLDERS

File No. SR-NASD Extension of Time to Pass Series 55 Examination, Equity Trader

Brown & Brown, Inc. AUDIT COMMITTEE CHARTER

LIBBEY INC. COMPENSATION COMMITTEE CHARTER

Legislative Oversight of the CFTC: A Primer

ARM 2017 Annual Educational Conference NASAA Panel: State Issues Amelia Island, Florida March 7, 2017

STATUTORY INSTRUMENTS. S.I. No. 277 of 2007 TRANSPARENCY (DIRECTIVE 2004/109/EC) REGULATIONS 2007

OGE ENERGY CORP. COMPENSATION COMMITTEE CHARTER

National Conference of State Legislatures Legislative Summit

IBRD/IDA/IFC/MIGA Policy

ASSOCIATION OF CORPORATE COUNSEL LITIGATION COMMITTEE CHARTER I. Mission Statement

Bylaws Changes for Membership Approval As of October 20, 2017

CITRIX SYSTEMS, INC. Nominating and Corporate Governance Committee Charter

CYPRESS SEMICONDUCTOR CORPORATION CHARTER OF THE COMPENSATION COMMITTEE OF THE BOARD OF DIRECTORS

NASD Notice to Members Executive Summary

NASD CODE OF ARBITRATION PROCEDURE FOR INDUSTRY DISPUTES

Exhibit B ( ) Effective Date: October 18, 2016 TW SEF LLC SWAP EXECUTION FACILITY RULES

CHARTER OF THE COMPENSATION COMMITTEE OF THE BOARD OF DIRECTORS OF PRIORITY TECHNOLOGY HOLDINGS, INC. Adopted as of July 25, 2018

Reaves Utility Income Fund. Proxy Voting Policies and Procedures

the implementation and documentation of appropriate arrangements, be publically available; and

VALVOLINE INC. COMPENSATION COMMITTEE CHARTER. Effective January 31, 2018

For the Week of May 10, 2010

ADOPTED REGULATION OF THE ADMINISTRATOR OF THE SECURITIES DIVISION OF THE OFFICE OF THE SECRETARY OF STATE. LCB File No. R016-02

PINNACLE FOODS INC. AUDIT COMMITTEE OF THE BOARD OF DIRECTORS CHARTER

SELECTED INVESTMENT ADVISOR AGREEMENT PREFERRED APARTMENT COMMUNITIES, INC.

Nucor Corporation Corporate Governance Principles February 20, 2018

EVOQUA WATER TECHNOLOGIES CORP. NOMINATING AND CORPORATE GOVERNANCE COMMITTEE OF THE BOARD OF DIRECTORS CHARTER. (Adopted as of October 29, 2018)

LAW No. 12,846 OF AUGUST 1, 2013 THE PRESIDENT OF THE REPUBLIC. I hereby make known that the National Congress decrees and I ratify the following law:

SIX Group Ltd Rules of Organisation for the Regulatory Bodies of the Group's trading venues

CHAPTER 3 PROPOSED CONTENTS AND FEATURES OF A REGIONAL ARRANGEMENT

INSIGHTS. The Corporate & Securities Law Advisor. Government Urges Expansion of Insider Trading Liability. FINRA Enforcement Actions

BYLAWS OF THE THE NATIONAL RETAIL AND RESTAURANT DEFENSE ASSOCIATION. Updated as of June 6, 2017 SECTION I. Organization SECTION II.

VAREX IMAGING CORPORATION COMPENSATION AND MANAGEMENT DEVELOPMENT COMMITTEE CHARTER. (As amended, effective August 25, 2017)

CHARTER OF THE COMPENSATION AND STOCK INCENTIVE COMMITTEE OF THE BOARD OF DIRECTORS ASCENA RETAIL GROUP, INC.

N E W Y O R K S T O C K E X C H A N G E L L C * * *

AMENDED AND RESTATED BYLAWS OF THE ASSOCIATION OF INSURANCE AND REINSURANCE RUN-OFF COMPANIES, INC. ARTICLE I. Name

Notice to Members. NASD Releases Minor Rule Violation Plan (MRVP) Guidelines. Executive Summary. Questions/Further Information

ALI-ABA Course of Study Regulation D Offerings and Private Placements

STELCO HOLDINGS INC. CHARTER OF THE COMPENSATION, GOVERNANCE AND NOMINATING COMMITTEE OF THE BOARD OF DIRECTORS

CARDINAL HEALTH, INC. DISCLOSURE COMMITTEE CHARTER Amended and Restated May 3, 2011

Manual of Organization and Procedures

Compensation and Development Committee Charter Section 3.15 of Corporation By-laws

Stock Exchange Code. 09 January 2017

The Procter & Gamble Company Board of Directors Compensation & Leadership Development Committee Charter

BLOOMBERG TRADING FACILITY LIMITED BMTF RULEBOOK

FINANCIAL INDUSTRY REGULATORY AUTHORITY OFFICE OF HEARING OFFICERS

Transcription:

Janet M. Angstadt Partner +1.312.902.5494 janet.angstadt@kattenlaw.com 525 West Monroe Street Chicago, IL 60661-3693 Practices FOCUS: Financial Services Broker-Dealer Regulation Financial Services Regulatory and Compliance Proprietary Trading Firms Industries Financial Institutions Education JD, DePaul University College of Law BA, St. Olaf College Bar Admissions Illinois Janet M. Angstadt is the head of Katten's Chicago Financial Services practice. She focuses her practice on broker-dealer and exchange compliance issues and advises companies on matters regarding compliance with the regulations of the US Securities and Exchange Commission (SEC) and self-regulatory organizations (SROs). Janet represents clients in a wide range of legal and regulatory matters, including mergers and acquisitions, SRO investigations, compliance issues related to registrations, sales practice, short sales, Regulation NMS, market-making and options and equities order handling. She advises on alternative trading systems, including dark pools and electronic communication networks, policies and procedures for trading systems development and testing and exchange-traded funds (ETFs). Janet counsels large, full-service broker-dealers, exchanges and clearinghouses as well as firms with market-making, proprietary trading and algorithmic models. She also advises market centers on equities and derivatives market structure initiatives, including market access, market data, new products and SEC policy initiatives. In addition, Janet conducts independent compliance and technology reviews and audits related to enforcement action settlements. Before joining Katten, she served as general counsel to NYSE Arca, Inc., an electronic equities and options exchange. As general counsel of NYSE Arca, Janet worked extensively on market structure and regulatory compliance issues and managed the company's membership and registrations departments. Prior to the merger of the New York Stock Exchange and Archipelago, she served as the deputy general counsel of Archipelago, where she created and implemented key company policies, including the company's procedures for development and testing of exchange technology. Janet also managed the compliance programs for Archipelago's four affiliated broker-dealers and played an integral role in legal and regulatory matters involving human resources, intellectual property and mergers and acquisitions, including Archipelago's acquisition of the Pacific Exchange and its merger with the New York Stock Exchange. Earlier, Janet was senior vice president and counsel to the capital markets group of EVEREN Securities, Inc. She also was senior counsel for the SEC's Division of Market Regulation where she was a member of the three-person study team for the Market 2000 Report.

Memberships Econ Illinois, Governing Board Securities Industry and Financial Markets Association Advisories Proposed Amendments to SEC Rule 15b9-1 Would Require Most Proprietary Trading Broker-Dealers to Become FINRA Members (April 20, 2015) FINRA Seeks Comment on Proposal Requiring Registration of Associated Persons Who Develop Algorithmic Trading Strategies (March 26, 2015) FINRA's New Consolidated Supervision Rules: A Roadmap to Compliance (November 11, 2014) SEC Issues Frequently Asked Questions on Supervisory Liability of Broker-Dealer Compliance and Legal Personnel Under Section 15(b)(4) and 15(b)(6) of the Exchange Act (October 9, 2013) The JOBS Act: Congress Overhauls Laws Governing Capital Raising for Most Issuers and Reporting for New Public Companies (March 30, 2012) MiFID II How It Affects Proprietary Traders and Algorithmic Traders (October 31, 2011) Guidelines from European Regulator Focus on High Frequency and Algorithmic Trading Obligations (August 18, 2011) SEC Adopts Large Trader Reporting Rule (August 3, 2011) SEC Extends Compliance Date for Certain Requirements of the Market Access Rule (June 28, 2011) SEC Adopts New Rule Concerning Risk Management Controls for Broker-Dealers with Market Access (November 16, 2010) FINRA Provides Guidance on Broker-Dealer Funding and Liquidity Risk Management Practices (November 5, 2010) SEC Proposes Major Initiative to Build a Consolidated Audit Trail for Equities and Options (June 10, 2010) New Circuit Breaker Proposed for Individual Stocks (May 20, 2010) SEC Staff Conducting Broad Analysis of Derivative Use by Registered Funds: Certain ETF Applications Are Temporarily Placed on Hold Until Study Is Concluded (March 26, 2010) SEC Adopts New Short Sale Price Test Rules (March 5, 2010) SEC Adopts New Short Sale Price Test (February 26, 2010) SEC Proposes New Market Access Rule and Approves Modifications to the Sponsored Access Rule of the Nasdaq Stock Market (January 29, 2010)

SEC Publishes Equity Market Structure Concept Release with Focus on High Frequency Trading, Co-Location, Market Data Latencies and Undisplayed Liquidity (January 25, 2010) SEC Proposes Rules and Amendments Regarding Regulation of Non-Public Trading Interest ("Dark Pools") (November 19, 2009) SEC Issues Important New Reg SHO FAQs Concerning "Long" and "Short" Order Marking and Locates for Foreign Broker-Dealers (August 31, 2009) SEC Reopens Comment Period for Short Sale Price Test and Proposes "Alternative Uptick Rule" (August 18, 2009) SEC Makes Short Selling Rule Permanent and Plans to Increase Short Sale Transparency (July 30, 2009) SEC Votes to Seek Comment on Five Alternative Short Sale Rule Proposals (April 9, 2009) OFAC Issues Guidance Regarding Scope of OFAC Compliance Programs (November 7, SEC Adopts Final Short Selling Rules (October 28, New Emergency Short Sale Rules Effective September 18, 2008 (September Second "ComplianceAlert" Cites Common Deficiencies, Effective Practices of Advisers, Funds and Brokers (August SEC Considers Expansion of the Applicability of Its Recent Short Sale Restrictions (July SEC Issues Emergency Order to Limit "Naked" Short Sales in Certain Financial Securities (July Articles Co-author, Recent Regulatory Initiatives Affecting High Frequency Trading, Automated Trader Magazine (June 2010) Author, A New Market Access Rule For Broker-Dealers?, Law360 (March 15, 2010) Newsletters FINRA's NAC Strengthens Sanction Guidelines Related to Fraud and Suitability Corporate & Financial Weekly Digest - Volume X, Issue 19 (May 15, 2015) SEC Committee to Focus on the Order Protection Rule at Upcoming Meeting Corporate & Financial Weekly Digest - Volume X, Issue 16 (April 24, 2015)

FINRA Issues Notice on New Rules and Amendments Relating to Transaction- Based Compensation, Membership and Sanctions, FINRA Issues Guidance on Effective Supervision for Firms Engaging in Algorithmic Trading Strategies, SEC Proposes to Amend Rule 15b9-1, SEC Staff Clarifies Regulation SHO FAQ 2.5(B) on Order Marking Corporate & Financial Weekly Digest - Volume X, Issue 12 (March 27, 2015) CBOE Proposes to Amend Order Ticket Requirements for Certain Orders SEC and FINRA Issue Cybersecurity Publications Corporate and Financial Weekly Digest - Volume X, Issue 5 (February 6, 2015) SEC 2015 Examination Priorities Focus on Liquid Alternatives and Fixed-Income Funds Corporate and Financial Weekly Digest - Volume X, Issue 2 (January 16, 2015) FINRA Proposes Rule Change to Identify Transactions with Non-Member Affiliates FINRA Proposes Rule Change to Codify Reporting Requirement for Accounts Acting in Concert Corporate and Financial Weekly Digest - Volume IX, Issue 49 (December 19, 2014) SEC Provides Relief to GSEC From Rule 204 Close-Out Requirements Corporate and Financial Weekly Digest - Volume IX, Issue 43 (October 31, 2014) FINRA Remarks at the National Society of Compliance Professionals Conference Corporate and Financial Weekly Digest - Volume IX, Issue 42 (October 24, 2014) Corporate and Financial Weekly Digest - Volume IX, Issue 40 (October 10, 2014) Corporate and Financial Weekly Digest - Volume IX, Issue 38 (September 26, 2014) Corporate and Financial Weekly Digest - Volume IX, Issue 36 (September 12, 2014) Corporate and Financial Weekly Digest - Volume IX, Issue 34 (August 29, 2014) Corporate and Financial Weekly Digest - Volume IX, Issue 28 (July 18, 2014) Corporate and Financial Weekly Digest - Volume IX, Issue 26 (June 27, 2014) Corporate and Financial Weekly Digest - Volume IX, Issue 23 (June 6, 2014) Corporate and Financial Weekly Digest - Volume IX, Issue 16 (April 18, 2014) Corporate and Financial Weekly Digest - Volume IX, Issue 13 (March 28, 2014) Corporate and Financial Weekly Digest - Volume IX, Issue 1 (January 3, 2014) Corporate and Financial Weekly Digest - Volume VIII, Issue 38 (October 4, 2013) Corporate and Financial Weekly Digest - Volume VIII, Issue 36 (September 20, 2013) Corporate and Financial Weekly Digest - Volume VIII, Issue 35 (September 13, 2013) Corporate and Financial Weekly Digest - Volume VIII, Issue 33 (August 23, 2013)

Corporate and Financial Weekly Digest - Volume VIII, Issue 28 (July 19, 2013) Corporate and Financial Weekly Digest - Volume VIII, Issue 19 (May 10, 2013) Corporate and Financial Weekly Digest - Volume VIII, Issue 12 (March 22, 2013) Corporate and Financial Weekly Digest - Volume VIII, Issue 11 (March 15, 2013) Corporate and Financial Weekly Digest - Volume VIII, Issue 10 (March 8, 2013) Corporate and Financial Weekly Digest - Volume VIII, Issue 6 (February 8, 2013) Corporate and Financial Weekly Digest - Volume VIII, Issue 3 (January 18, 2013) Corporate and Financial Weekly Digest - Volume VII, Issue 47 (December 21, 2012) Corporate and Financial Weekly Digest - Volume VII, Issue 38 (October 12, 2012) Corporate and Financial Weekly Digest - Volume VII, Issue 36 (September 28, 2012) Corporate and Financial Weekly Digest - Volume V, Issue 46 (December 3, 2010) Corporate and Financial Weekly Digest - Volume V, Issue 45 (November 19, 2010) Corporate and Financial Weekly Digest - Volume V, Issue 43 (November 5, 2010) Corporate and Financial Weekly Digest - Volume V, Issue 40 (October 15, 2010) Corporate and Financial Weekly Digest - Volume V, Issue 38 (October 1, 2010) Corporate and Financial Weekly Digest - Volume V, Issue 36 (September 17, 2010) Corporate and Financial Weekly Digest - Volume V, Issue 34 (August 27, 2010) Corporate and Financial Weekly Digest - Volume V, Issue 27 (July 9, 2010) Corporate and Financial Weekly Digest - Volume V, Issue 25 (June 25, 2010) Corporate and Financial Weekly Digest - Volume V, Issue 23 (June 11, 2010) Corporate and Financial Weekly Digest - Volume IV, Issue 20 (May 22, 2009) Corporate and Financial Weekly Digest - Volume IV, Issue 19 (May 15, 2009) Corporate and Financial Weekly Digest - Volume IV, Issue 18 (May 8, 2009) Corporate and Financial Weekly Digest - Volume IV, Issue 17 (May 1, 2009) Corporate and Financial Weekly Digest - Volume IV, Issue 16 (April 24, 2009) Corporate and Financial Weekly Digest - Volume IV, Issue 15 (April 17, 2009) Corporate and Financial Weekly Digest - Volume IV, Issue 14 (April 10, 2009) Corporate and Financial Weekly Digest - Volume IV, Issue 13 (April 3, 2009) Corporate and Financial Weekly Digest - Volume IV, Issue 12 (March 27, 2009) Corporate and Financial Weekly Digest - Volume IV, Issue 11 (March 20, 2009) Corporate and Financial Weekly Digest - Volume IV, Issue 10 (March 13, 2009)

Corporate and Financial Weekly Digest - Volume IV, Issue 9 (March 6, 2009) Corporate and Financial Weekly Digest - Volume IV, Issue 8 (February 27, 2009) Corporate and Financial Weekly Digest - Volume IV, Issue 7 (February 20, 2009) Corporate and Financial Weekly Digest - Volume IV, Issue 6 (February 13, 2009) Corporate and Financial Weekly Digest - Volume IV, Issue 5 (February 6, 2009) Corporate and Financial Weekly Digest - Volume IV, Issue 4 (January 30, 2009) Corporate and Financial Weekly Digest - Volume IV, Issue 3 (January 23, 2009) Corporate and Financial Weekly Digest - Volume IV, Issue 2 (January 16, 2009) Corporate and Financial Weekly Digest - Volume IV, Issue 1 (January 9, 2009) Corporate and Financial Weekly Digest - Volume III, Issue 46 (December 19, Corporate and Financial Weekly Digest - Volume III, Issue 45 (December 12, Corporate and Financial Weekly Digest - Volume III, Issue 44 (December 5, Corporate and Financial Weekly Digest - Volume III, Issue 43 (November 21, Corporate and Financial Weekly Digest - Volume III, Issue 42 (November 14, Corporate and Financial Weekly Digest - Volume III, Issue 41 (November 7, Corporate and Financial Weekly Digest - Volume III, Issue 40 (October 31, Corporate and Financial Weekly Digest - Volume III, Issue 39 (October 24, Corporate and Financial Weekly Digest - Volume III, Issue 38 (October 17, Corporate and Financial Weekly Digest - Volume III, Issue 37 (October 10, Corporate and Financial Weekly Digest - Volume III, Issue 36 (October 3, Corporate and Financial Weekly Digest - Volume III, Issue 35 (September 26, Corporate and Financial Weekly Digest - Volume III, Issue 34 (September 19, Corporate and Financial Weekly Digest - Volume III, Issue 33 (September 12, Corporate and Financial Weekly Digest - Volume III, Issue 32 (September 5, Corporate and Financial Weekly Digest - Volume III, Issue 31 (August 22, Corporate and Financial Weekly Digest - Volume III, Issue 30 (August 15, Corporate and Financial Weekly Digest - Volume III, Issue 29 (August 8, Corporate and Financial Weekly Digest - Volume III, Issue 28 (August 1,

Corporate and Financial Weekly Digest - Volume III, Issue 27 (July 25, Corporate and Financial Weekly Digest - Volume III, Issue 26 (July 18, Corporate and Financial Weekly Digest - Volume III, Issue 25 (July 11, Corporate and Financial Weekly Digest - Volume III, Issue 24 (June 27, Corporate and Financial Weekly Digest - Volume III, Issue 23 (June 20, Corporate and Financial Weekly Digest - Volume III, Issue 22 (June 13, Corporate and Financial Weekly Digest - Volume III, Issue 21 (June 6, Corporate and Financial Weekly Digest - Volume III, Issue 20 (May 30, Corporate and Financial Weekly Digest - Volume III, Issue 19 (May 16, Corporate and Financial Weekly Digest - Volume III, Issue 18 (May 9, Corporate and Financial Weekly Digest - Volume III, Issue 17 (May 2, Corporate and Financial Weekly Digest - Volume III, Issue 16 (April 25, Corporate and Financial Weekly Digest - Volume III, Issue 15 (April 18, Corporate and Financial Weekly Digest - Volume III, Issue 14 (April 11, Corporate and Financial Weekly Digest - Volume III, Issue 13 (April 4, Corporate and Financial Weekly Digest - Volume III, Issue 12 (March 28, Corporate and Financial Weekly Digest - Volume III, Issue 11 (March 14, Corporate and Financial Weekly Digest - Volume III, Issue 10 (March 7, Corporate and Financial Weekly Digest - Volume III, Issue 9 (February 29, Corporate and Financial Weekly Digest - Volume III, Issue 8 (February 22, Corporate and Financial Weekly Digest - Volume III, Issue 7 (February 15, Corporate and Financial Weekly Digest - Volume III, Issue 6 (February 8, Corporate and Financial Weekly Digest - Volume III, Issue 5 (February 1, Corporate and Financial Weekly Digest - Volume III, Issue 4 (January 25, Corporate and Financial Weekly Digest - Volume III, Issue 3 (January 18, Corporate and Financial Weekly Digest - Volume III, Issue 2 (January 11, Corporate and Financial Weekly Digest - Volume III, Issue 1 (January 4, Corporate and Financial Weekly Digest - Volume II, Issue 47 (December 20, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 46 (December 14, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 45 (December 7, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 44 (November 30, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 43 (November 16, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 42 (November 9, 2007)

Corporate and Financial Weekly Digest - Volume II, Issue 41 (October 26, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 40 (October 19, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 39 (October 12, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 38 (October 5, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 36 (September 21, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 35 (September 14, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 34 (September 7, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 33 (August 24, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 32 (August 17, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 31 (August 10, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 30 (August 3, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 29 (July 27, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 28 (July 20, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 27 (July 13, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 26 (June 29, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 25 (June 22, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 24 (June 15, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 23 (June 8, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 22 (June 1, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 21 (May 25, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 20 (May 18, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 19 (May 11, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 18 (May 4, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 17 (April 27, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 16 (April 20, 2007) Corporate and Financial Weekly Digest - Volume II, Issue 15 (April 13, 2007) Speaking Engagements & Presentations Panelist, Developments in Proprietary Trading: Cross-Border Comparison of US and European Regulatory Initiatives Developments in Proprietary Trading: Cross- Border Comparison of US and European Regulatory Initiatives, Chicago, Illinois (April 28, 2015)

Speaker Enforcement Issues Arising from Dark Pools, Chicago, Illinois (November 20, 2014) Presenter Financial Services Litigation Symposium, New York, New York (October 16, 2014) Panelist, The Deep End of Dark Pools: Increased Scrutiny of High Frequency Trading First Chair Awards Conference & Gala, Chicago, Illinois (August 27, 2014) Panelist Recent Publicity Concerning Proprietary Trading: Potential Regulatory Responses, New York, New York (May 6, 2014) Panelist Recent Publicity Concerning Proprietary Trading: Potential Regulatory Responses, Chicago, Illinois (April 28, 2014) Presenter Pitfalls in a Shifting Landscape: Trade Practice Issues for Futures and Securities, Chicago, Illinois (December 3, 2013) Presenter Enforcement and Examination Priorities of Options Regulators, New York, New York (October 1, 2013) Presenter Enforcement and Examination Priorities of Options Regulators, Chicago, Illinois (July 9, 2013) Panelist, Regulators as Initiators Rapidly Changing Securities Markets: Who Are the Initiators?, New York, New York (October 9, 2012) Presenter SEC and CFTC Regulatory Update, Chicago, Illinois (July 17, 2012) Panelist Regulatory Compliance 2011, New York, New York (November 30, 2011) Presenter Proprietary Trading Issues for 2012, Chicago, Illinois (October 20, 2011) Panelist Bloomberg's High Frequency Trading Briefing, Chicago, Illinois (July 12, 2011) Moderator The Security Traders Association of New York's 75th Annual Conference & Celebration, New York, New York (March 31, 2011) Panelist, What will be the legacy of the 'flash crash'? Chicago Trading & Investing Summit 2010, Chicago, Illinois (October 14, 2010) Panelist, Options Market Structure An Institutional vs. Retail Marketplace? State of Institutional Options Trading from a Liquidity, Regulatory and Technology Perspective, New York, New York (October 6, 2010) Panelist, SEC Market Structure Concept Release 74th Annual Security Traders Association of New York Conference, New York, New York (April 22, 2010) Speaker Proprietary Trading on European Markets, Chicago, Illinois (April 14, 2010)

Speaker, Legal and Regulatory Implications of New Short Sale Rule SEC's New Short Sale Rule: Implications and Ambiguities, New York, New York (March 29, 2010) Panelist New SEC Initiatives Affecting Equity and Options Trading, New York, New York (March 18, 2010) Panelist New SEC Initiatives Affecting Proprietary Trading, Chicago, Illinois (February 25, 2010) Speaker Financial Regulatory Reform: Current Developments, Chicago, Illinois (December 3, 2009) Panelist Proprietary Trading Follow-Up Roundtable, Chicago, Illinois (April 16, 2009) Presenter Regulatory Developments in Equity and Options Trading, New York, New York (March 12, 2009)