"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.
"Mortgage-Backed Securities Litigation: Latest Developments: Pursuing and Defending Investors, Issuers, Underwriters and Other Stakeholders in MBS Claims," Strafford Legal Webinars.
Panelist, “Revolution in the Regulation of Financial Advice: The U.S., the U.K and Australia”, St. John’s Law School.
PLI Understanding Financial Products, Panelist “Other Perspectives on Financial Products: Accounting and Litigation Considerations”
“RMBS Litigation and Regulatory Enforcement: Defending against Emerging Investor and Shareholder Claims and Ensuring Compliance with a Changing Regulatory Scheme,” American Conference Institute, 6th National Forum on Residential Mortgage Litigation and Regulatory Enforcement, Washington, D.C.