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First Annual Washington Investment and Regulation Conference

Date: Thursday, September 23, 2010
Paul Porter Conference Room at The Law Offices of Arnold & Porter LLP, 555 Twelfth Street, NW, Washington, DC

About The Event

Event Detail

First Annual Washington Investment and Regulation Conference

Join CFAW and GIC in this first annual conference focusing on financial regulatory reform and the forthcoming 2010 mid-term elections. This program will include a diverse and experienced set of speakers who will discuss both the investment and regulatory impact of the Dodd-Frank legislation. The conference will run on the first morning of the 2010 Society Leaders Conference (SLC). The SLC conference brings together CFA society leaders from all around the world.

Event Location

Date: Thursday, September 23, 2010 Time: 8:30 AM City: Washington Paul Porter Conference Room at The Law Offices of Arnold & Porter LLP Download iCal

Speakers

Shawn Dubravac

Shawn Dubravac

Shawn G. DuBravac, CFA is the economist for the Consumer Electronics Association (CEA) where he directs CEA’s economic analysis. He is responsible for handling analysis of the economy as it relates to the consumer electronics industry including forecasting future economic activity, econometric studies, examining trade flows, and ascertaining relative health of the industry. DuBravac also […]

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Ted Kaufman

Ted Kaufman

Sen. Ted Kaufman represented Delaware in the United States Senate from Jan. 16, 2009 to Nov. 15, 2010, after which he became chair of the Congressional Oversight Panel. Kaufman has taught at Duke Law School since 1991; he also has taught in the Fuqua School of Business, and the Sanford School of Public Policy. From […]

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Peter J. Tanous

Peter J. Tanous

President and a director of Lynx Investment Advisory, LLC of Washington D.C., a SEC registered investment advisory firm. In prior years, Mr. Tanous was first vice president and international regional director with Smith Barney and a member of the executive committee of Smith Barney International, Inc. He served for ten years as executive vice president […]

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Michael Farr

Michael Farr

Michael K. Farr is president and majority owner of Farr, Miller & Washington, LLC. He is chairman of the investment committee and is responsible for overseeing the day-to-day activities of the firm. Under his leadership, the firm has grown to over five hundred million dollars in assets, and has enjoyed performance ranked among the top […]

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Dave Resler, Ph.D.

Dave Resler, Ph.D.

Dr. David H. Resler is managing director and chief economist at Nomura Securities International, Inc., where he oversees the economics department. The department has responsibility for providing economic analysis for the trading and sales operations. In addition, Dr. Resler publishes a daily commentary on the economy and financial markets and produces a weekly newsletter and […]

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Frank Hatheway, Ph.D.

Frank Hatheway, Ph.D.

Frank M. Hatheway is chief economist of the NASDAQ OMX Group Inc., the world’s largest exchange company, and is responsible for a variety of projects and initiatives to support the markets and improve market structure. Since joining NASDAQ OMX, he has carried out a number of studies on the role of stock markets in the […]

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Matt Moran, Esq.

Matt Moran, Esq.

Matthew T. Moran is vice president, business development, for the Chicago Board Options Exchange (CBOE), and is responsible for many of the exchange’s marketing and educational efforts (including advertising, seminars and publications) for pension funds, mutual funds, and other institutional investors. He had a leadership role in the development of the CBOE S&P 500 BuyWrite […]

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Carlotta King

Carlotta King is MFA’s Associate General Counsel. Carlotta is responsible, along with other MFA counsel, for monitoring, analyzing and commenting on regulatory and legislative developments affecting the alternative investment industry.

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David F. Freeman Jr., J.D.

David F. Freeman Jr., J.D.

Practice Focus FINANCIAL SERVICES David Freeman represents financial institutions, investment managers, and broker-dealers on a variety of matters including banking and securities regulatory issues, legislation, mergers and acquisitions, private investment funds, and new product development and documentation. Mr. Freeman advises clients on strategic initiatives with federal financial regulatory, legislative, and public policy implications. As part […]

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Alex Pollock

Alex Pollock

Alex Pollock joined AEI in 2004 after 35 years in banking. He was president and chief executive officer of the Federal Home Loan Bank of Chicago from 1991 to 2004. He is the author of numerous articles on financial systems and the organizer of the “Deflating Bubble” series of AEI conferences. In 2007, he developed […]

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