Publications
Moderator: “War Stories” panel at the annual Financial Frauds Conference of The Anti-Fraud Coalition (March 2025)
Moderator: “Media Matters, a Discussion about Media Messaging in Whistleblower Cases” at the annual Financial Frauds Conference of The Anti-Fraud Coalition (March 2024)
Panelist: “Newest Whistleblower Laws and Trends in Anti-Money Laundering and Other Emerging Whistleblower Areas” at the Annual Whistleblower Law Symposium of the Atlanta Bar Association (2024)
Podcast Interview: “A Nine Page Report on Hiding LDS Church Investments” with Doug Fabrizio, Radio West from KUER (March 2023)
Podcast Interview: “How Whistleblowers Exposed the Fraud of Trevor Milton, Nikola’s Founder,” with Jeb White at The Anti-Fraud Coalition (2023)
Podcast Interview: The Unraveling of Trevor Milton, Ep 4: “Not Appointed Us to Wrath” Bad Bets Season 2, published by the Wall Street Journal (2022)
Featured on Season 15 of CNBC’s American Greed, Episode 8 “Chasing Tesla” (2022)
Featured on Season 15 of CNBC’s American Greed, Episode 7 “The Polygamist and the Bio Fuel Baron” (2022)
Speaker: “Ponzi Schemes and Affinity Fraud” at a meeting of the Southern Utah Bar Association (December 2021)
Moderator: “Ethics and Defamation: The Pitfalls of Communicating with Potential Clients through Blogs and Direct Solicitations” at the Public Investors Advocate Bar Association Annual Convention (October 2021)
Panelist: ” Litigating in Different Forums: JAMS, AAA, FINRA and Court” at the Public Investors Advocate Bar Association Mid-year Convention (April 2021)
Panelist: “Whistleblowers: Endangered Canaries or Bounty Hunters?” at the Public Investors Advocate Bar Association Annual Convention (October 2020)
Speaker: “How to Spot Ponzi Schemes and Affinity Fraud – And What You Can Do About It” at the Ray Quinney & Nebeker Annual Tax & Business Seminar (October 2019)
Panel Moderator: “How Receiverships Can Create Additional Recoveries for Victims of Fraud” at the Annual Meeting of the Public Investors Advocate Bar Association (October 2019)
Panelist: “Building Your Own Book of Business: Marketing Yourself and Your Firm” to the Litigation Section of the Utah State Bar (January 2019)
Panel Moderator: “Law Firm Marketing: What Works and What Doesn’t” at the Annual Meeting of the Public Investors Advocate Bar Association (October 2017)
Presentation on whistleblower law with Jane Norberg, Chief, Office of the Whistleblower, S. Securities and Exchange Commission at the Summer Convention of the of the Utah State Bar (July 2017)
Presentation: Recent Developments in FINRA Arbitration, Utah Securities Section’s Annual Securities Law Workshop (August 2016)
Panelist with Sean McKessy, Chief, Office of the Whistleblower, U.S. Securities and Exchange Commission on the Dodd-Frank Whistleblower Program, sponsored by the Federal Bar Association and the Securities Section of the Utah State Bar (November 2015)
Presentation on the SEC’s Whistleblower Program at the 2015 White Collar Crime Conference sponsored by the Association of Certified Fraud Examiners (October 2015)
Panelist: Civil Penalties in SEC Enforcement Actions – What Practitioners and Corporate Counsel Need to Know, sponsored by the Federal Bar Association and the Securities Section of the Utah State Bar (April 2015)
Authored an article titled “Top Ten Ways to Avoid Losing Money in an Financial Scam” For The Enterprise Magazine (July 2014)
Presentation to the Utah Financial Planners Association: Affinity Fraud; How to Help Your Clients Avoid Being a Victim (January 2013)
Presentation: Update on Significant Decisions, Utah Securities Section’s Annual Securities Law Workshop (August 2012)
Workshop Instructor on How to Draft a Securities Complaint, Utah Securities Section’s Annual Securities Law Workshop (August 2012)
Panelist: Litigation Risk in Today’s Economy at the Annual Conference of the Real Estate Investors Securities Association (October 2010)
Author of article in Utah CEO Magazine: The Price of Neglecting Corporate Compliance in the Post-Madoff World (April 2010)
Speaker: Private Causes of Action under the Utah Uniform Securities Act, CLE sponsored by the Securities Section of the Utah State Bar (March 2010)
Panelist: Investment Adviser Workshop sponsored by the Utah Division of Securities (June 2009)
Editorial: Perils of Investing with Friends and Ward Members as published in the Salt Lake Tribune (December 2008)
Moderator: Panel Discussion on Regulatory Enforcement Issues at the 2006 Securities Law Workshop, sponsored by the Securities Section of the Utah State Bar (August 2006)
Presentation: “The Regulators are Watching: How to Survive Increasing Securities Regulation and Litigation” before the Salt Lake Estate Planning Council’s 2005 Fall Institute
Presentation: “Recent 9th and 10th Circuit Securities Decisions” at the Utah Securities Section’s Securities Law Workshop (August 2004 and August 2005)
Presentation: “NASD Arbitration” at CLE seminar on Securities Practice sponsored by the Utah State Bar (October 2003)
Moderator of Panel Discussion on Ethical Issues for Securities Attorneys under SEC Rule 205 at the 26th Annual Securities Law Workshop, sponsored by the Securities Section of the Utah State Bar (August 2003)
Speaker at CLE seminar “Stockbroker Fraud in Utah,” sponsored by the National Business Institute (October 1999)
Article: “Ninth Circuit Confirms the CFTC Does Not Have Jurisdiction Over Off-Exchange Foreign Currency Transactions,” Securities Law Roundup, Winter 1997
Article: “Brokerage Firm Policies Governing the Use of Internet and E-mail by Associated Persons,” Compliance Reporter, Institutional Investor, Inc., March 31, 1997
Law Journal Note: “Non-Smoking Hiring Policies: Examining the Status of Smokers Under Title I of the Americans With Disabilities Act of 1990”, 43 Duke Law Journal 1089