“Past, Present and Future of Insider Trading: A 50th Anniversary Re-examination of Cady, Roberts and the Revolution It Began,” Symposium at Columbia Law School Center on Corporate Governance, November 16, 2012
"Mortgage-Backed Securities Litigation: Latest Developments: Pursuing and Defending Investors, Issuers, Underwriters and Other Stakeholders in MBS Claims," Strafford Legal Webinars.
FCPA Presentation at "Aftermath of the Financial Crisis" panel, ABA International Law Section, New York, April 19, 2012
"PCAOB Enforcement: The First 10 Years and Looking Forward," District of Columbia Bar program, March 21, 2012
"Accountability of Independent Agencies: US and EU Experience," Maastricht University (Netherlands), February 3, 2012
“What to do if Your Fund is Suspected of Insider Trading and Other Fraudulent Acts,” at The Hedge Fund Business Operations Association’s Annual Conference: Optimizing Hedge Fund Business Operations.