Greg Mocek, Allen & Overy LLP
Greg’s practice involves legal and strategic guidance on a broad range of issues, including regulatory, government investigations, internal investigations, the Dodd-Frank Act, litigation, legislation, compliance, global financial regulatory and operational risk. Greg is one of the top commodity and derivatives lawyers in the United States, and has advised clients and led investigations in more than a dozen countries. He has defended hundreds of domestic and international companies in CFTC investigations. Greg remains on the frontline of domestic and cross-border regulatory issues, investigations, and litigation in the commodity and derivatives markets. He is regularly retained to advise and defend corporations in bet-the-company regulatory matters, inquiries and investigations that require significant appreciation of markets, trading dynamics, and regulatory scope. As a former Director of Enforcement for the U.S. Commodity Futures Trading Commission, Greg rose through the organization to provide leadership as one of the longest serving enforcement directors in Commission history. Leading 175 professionals in the Division of Enforcement, he was responsible for managing the Commission’s investigations, policies and related litigation in the U.S. and abroad.
