curriculum vitae terry calvani · curriculum vitae 27 june 2019 page 3 senior research associate,...

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WA55645/99 999999-0023 CURRICULUM VITAE TERRY CALVANI 917 Huntington Circle Nashville, TN 37215 Born 29 January 1947, in Carlsbad, New Mexico, U.S.A. Married to Sarah Holter Hill. Two children Dominic Mario Calvani (1973), Torello Howard Calvani II (1975); two step-children Benjamin Douglas Hill (1980); Elizabeth Sage Hill (1983). Four grandchildren. Education: CORNELL UNIVERSITY The Cornell Law School, Ithaca, New York. Doctor of Law with Distinction awarded June 1972. Order of the Coif. Article and Book Review Editor, The Cornell Law Review. Recipient “Henry A. Mark Memorial Scholarship.” UNIVERSITY OF NEW MEXICO College of Arts and Sciences, Albuquerque, New Mexico. Bachelor of Arts (History) awarded January 1970. Employment: Private Practice— Of Counsel, Freshfields Bruckhaus Deringer, 700 Thirteenth Street, N.W., Washington, D.C. 20005 (2005-19). Partner, Pillsbury Winthrop LLP, 1133 Connecticut Ave., N.W., Washington, D.C. 20036 (1990-2002). Of Counsel: Haskell, Slaughter & Young, 800 First National-Southern Natural Building, Birmingham (1980-83). Associate, Pillsbury Madison & Sutro, 225 Bush Street, San Francisco (1973-74).

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Page 1: CURRICULUM VITAE TERRY CALVANI · Curriculum Vitae 27 June 2019 Page 3 Senior Research Associate, Vanderbilt Institute for Public Policy Studies (1977-83). Teaching Fellow, The Stanford

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CURRICULUM VITAE

TERRY CALVANI

917 Huntington Circle Nashville, TN 37215 Born 29 January 1947, in Carlsbad, New Mexico, U.S.A. Married to Sarah Holter Hill. Two children Dominic Mario Calvani (1973), Torello Howard Calvani II (1975); two step-children Benjamin Douglas Hill (1980); Elizabeth Sage Hill (1983). Four grandchildren.

Education:

CORNELL UNIVERSITY The Cornell Law School, Ithaca, New York.

Doctor of Law with Distinction awarded June 1972.

Order of the Coif.

Article and Book Review Editor, The Cornell Law Review.

Recipient “Henry A. Mark Memorial Scholarship.”

UNIVERSITY OF NEW MEXICO College of Arts and Sciences, Albuquerque, New Mexico.

Bachelor of Arts (History) awarded January 1970.

Employment:

Private Practice—

Of Counsel, Freshfields Bruckhaus Deringer, 700 Thirteenth Street, N.W., Washington, D.C. 20005 (2005-19).

Partner, Pillsbury Winthrop LLP, 1133 Connecticut Ave., N.W., Washington, D.C. 20036 (1990-2002).

Of Counsel: Haskell, Slaughter & Young, 800 First National-Southern Natural Building, Birmingham (1980-83).

Associate, Pillsbury Madison & Sutro, 225 Bush Street, San Francisco (1973-74).

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Summer Associate, Sullivan & Cromwell, 48 Wall Street, New York (1971).

Public Service—

Member, An tÚdarás Iomaíochta (The Competition Authority of Ireland) (holding portfolios: Director of Cartel Division (2002-2005), Acting Director of Mergers Division (2003)), (appointed by Deputy Prime Minister and Minister for Enterprise, Trade & Employment Mary Harney April 22, 2002, for a term of five years commencing May 20, 2002). Included service as Irish representative to European Commission Advisory Committee on Restrictive Practices & Dominant Positions. [Today the title and agency would be Commissioner of Coimisiún um Iomaíocht agus Cosaint Tomhaltóirí (The Competition & Consumer Protection Commission)].

Commissioner, United States Federal Trade Commission (nominated by President Ronald Reagan September 14, 1983, confirmed by U.S. Senate November 16, 1983, sworn in by Chief Justice William Rehnquist on November 18, 1983, term expired September 25, 1990). Served as Acting Chairman October 7, 1985 - April 21, 1986.

Academic Appointments—

Adjunct Assistant Professor of Law, University of California Hastings College of Law (2019)

Lecturer in Law, [Antitrust Law], Columbia Law School (2017--)..

Adjunct Professor of Law, [International Cartels & Comparative Competition Law], Cornell Law School, Ithaca (2006 & 2016).

Lecturer, [Comparative Competition Law], Trinity College, Dublin (2004-05).

Lecturer on Law, [Antitrust Law], Harvard Law School, Cambridge (1998-2001).

Senior Lecturing Fellow [Antitrust Law], Duke University School of Law (2002).

Adjunct Professor of Management, [Regulation of Business], Owen Graduate School of Management, Vanderbilt University, Nashville, Tennessee (1988 - 1995).

Professor of Law (1980-83); Associate Professor of Law (1977-80; with tenure); Assistant Professor of Law (1974-77), Vanderbilt University School of Law, Nashville, Tennessee (antitrust and contracts).

Visiting Professor of Law, University of Virginia School of Law, Charlottesville, Virginia (1981-82) (antitrust and contracts).

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Senior Research Associate, Vanderbilt Institute for Public Policy Studies (1977-83).

Teaching Fellow, The Stanford Law School, Stanford, California (1972-73) (legal writing & research).

Professional Affiliations & Related Activities:

Current:

Life Member, American Law Institute, member since 1982. --Member, Consultative Group for the Restatement (Third) on Unfair Competition, 1987-1990.

Life Member, Sixth Circuit Judicial Conference, since 1984.

Advisory Board, Antitrust Bulletin, 1981-present.

Advisory Board, Dublin Univ. L.J., 2012-present.

Advisory Board, Oxford J. of Antitrust Enforcement, 2014-present.

American Bar Association, Antitrust Section, since 1974. --Liaison to the Competition Committee of the International Bar Assoc., 2019- --Co-Chair, International Task Force: 2011-2012 --Council Member: ex officio: 1985-86

elected: 1990-1993 --Chairman, State Action Exemption and

Noerr Doctrine Committee: 1987-1990 --Chairman, Special Committee on Antitrust

Penalties & Damages: 1979-1982 --Chairman, Robinson-Patman Committee:

1981-83 --Chairman, Price Discrimination

Subcommittee: 1978-81.

American Economics Association, since 1998. --General Counsel: since 1998.

Non-Governmental Advisor, International Competition Network --Member, Curriculum Project Committee --NGA Delegate for the U.S. Dep. of Justice & the U.S. FTC to:

Fourth Annual Conference, Bonn, Germany (June 5-8, 2005) Fifth Annual Conference, Cape Town, South Africa (May 3-5, 2006) Sixth Annual Conference, Moscow, Russia (May 30-June 1, 2007)

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Seventh Annual Conference, Kyoto, Japan (April 14-16, 2008) Eighth Annual Conference, Zurich, Switzerland (June 3-5, 2009) Ninth Annual Conference, Istanbul, Turkey (April 27-29, 2010) Tenth Annual Conference, The Hague, Netherlands (May 18-20, 2011) Eleventh Annual Conference, Rio de Janeiro, Brazil (April 18-20, 2012) Twelfth Annual Conference, Warsaw, Poland (April 23-26, 2013) Thirteenth Annual Conf., Marrakesh (April 22-25, 2014). Fourteenth Annual Conf., Sydney (April 28-May 1, 2015). Fifteenth Annual Conf., Singapore (April 26-29, 2016). Sixteenth Annual Conf., Porto (April 9-12, 2017). Eighteenth Annual Conf., Cartagena, Columbia (May 14-17, 2019)

--Government Delegate to Cartel Conferences: Cartel Conference, Brussels (2004), Cartel Conference, Sydney (2005).

Regulatory Policy Institute, Oxford, 2003-2010.

International Bar Association, since 1991, --Committee C (Antitrust).

Past:

Editorial Board, Dublin Univ. L.J., 2005-12.

Member, Law Council, National Univ. of Ireland Maynooth, 2008-2009.

Advisory Board, Journal of Reprints for Antitrust & Economics, 1981-1991.

Administrative Conference of the United States, 1985-1990.

Federalist Society (Washington), 1986-2002.

Irish Law Teachers Assoc., 2002-2006.

California State Bar Antitrust and Unfair Competition Antitrust Section --Executive Committee: 2001-2004.

Newcomen Society in North America, 1983-1986.

American Association of Law Schools 1974-1983. --Chairman, Law & Economics Section: 1980-81 --Vice Chairman, Antitrust Section: 1981-82 --Member, Accreditation Inspection Team,

Univ. of Indiana--Indianapolis, Nov. 1988.

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Community and Related Activities:

Committee of Visitors, Vanderbilt University Medical Center.

1982-1985

Member, The Jefferson Club, (Birmingham, AL).

1983-1994

Member, Board of Directors, Nashville Symphony Association, Inc.

1983-1985

Life Member, Canby Robinson Society. Since 1982

Member, Raleigh Tavern Society of Colonial Williamsburg Foundation.

1982-1986

American Council of Young Political Leaders. Since 1986

Chairman, FTC Combined Federal Campaign (United Way).

1985

Principal, Council for Excellence in Government.

1990-1994

Member, Board of Directors, Community Health Accreditation Program, Inc.

1992-1993

Selected Publications:

Books-

An Economic Analysis and Antitrust Law (T. Calvani and J. Siegfried eds., Boston: Little, Brown & Co., 1979; second edition 1988).

Articles-

“An Antitrust Opera: Judge Ginsburg & The Three Tenors” in Douglas H. Ginsburg Liber Amicorum 19 (Nicolas Charbit, ed. 2018).

“A Larger Role for the Oral Hearing & Hearing Officer: A Modest Proposal, [2017] Oxford J. of Antitrust Enforcement 1(with Leahy).

“Is There Too Much Traffic on the Competition Enforcement Autostrada: A Role for Negative Comity,” 2016 Proc. of the Fordham Corp. Law Inst. 1 (with Steward-Teitelbaum 175).

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“It May Not Be Perfect, But It Is Progress: Reflecting on the FTC’s Section 5 Guidance,” CPI Antitrust Chronicle 1 (Nov. 2015, with Onken).

“Legal Issues of Selling and Buyer, The European Union” in Legal Issues of Selling & Buying’ 1007 (P. Zeidman ed., 3rd ed., 2015 with Goydar).

“Discovery of European Commission Materials in U.S. Civil Antitrust Litigation: An Update,”1-2015 Concurrences (with Mellott, 2015).

“Legal Issues of Selling & Buying: The European Union”, in Legal Issues of Selling & Buying’ 1005 (P. Zeidman ed., 2014 with Goydar).

“The FTC at 100: A modest Proposal for Change,” 21 Geo. Mason L.Rev. 1169, (2014 with Diveley).

“The Competition Act, 2002, Ten Years Later: Lessons from the Irish Experience of Prosecuting Cartels As Criminal Offences,” [2013] J. Antitrust Enforcement 1 (with Carl).

“Introduction to Symposium: Cartel Penalties: Effective Deterrents or License Fees?”, 56 Antitrust Bulletin 185 (with Torello H. Calvani, Terry Calvani & Torello H. Calvani, editors, 2011 ).

“BRIC in the International Merger Review Edifice,” 43 Cornell Internat’l L.J. 73 (2010; with Alderman).

“Custodial sanctions for cartel offences: An appropriate sanction in Australia?” 17(2) Comp. & Consumer L.J 119 (2009; with Torello H. Calvani).

“United States Competition Law Policy—The Private Label Experience,” in Private Labels, Brands, and Competition Policy 323 (Ezrachi & Bernitz, eds., 2009).

"Dominance: A Comparative Legal & Economic Analysis," in 2 Issues in Competition Law & Policy 845 (Collins ed., 2008, with Fingleton).

“Discovery of European Commission Materials in U.S. Civil Antitrust Litigation: Does U.S. Discovery Threaten Europe’s Competition Enforcement Regime,” 17 Competition J. Antitrust & Unfair Comp. L.Sec. St. B.Cal. 29 (2008 with McMillan).. "Editors' Note" in Issues in Unilateral Abuse: Special Issue, 51 Antitrust Bull. 687 (Calvani & Davies, eds., 2006).

"New EU Antitrust Fining Policy: How Much Will a Violation Now Cost?" Antitrust 53 (with Turner & Cameron, Fall 2006)

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"Conflicts of Interest in Criminal Cartel Cases," Irish Law Times 8-119 (2006, with Butterworth).

"Competition Penalties & Damages in a Cartel Context: Criminalization and the Case for Custodial Sentences,” in Criminalization of Competition Law Enforcement & Legal Implications for the EU Member States (Cseres, Schlinkel & Vogelaar eds., 2006), earlier version reprinted as "Cartel Penalties & Damages in Ireland—Criminalisation & the Case for Custodial Sentences" in Competition Law & Cartels (Prasad ed, 2006).

“Conflict, Cooperation & Convergence in International Competition,” in Proceedings of the Federal Trade Commission 90th Anniversary, 72 Antitrust L.J. 1127 (2005), reprinted in Global Competition Policy 197 (Prased ed. 2007)..

“Enforcement of Cartel Law in Ireland,” 2003 Proc. of the Fordham Corp. Law Inst. 1 (Hawk ed.; 2004) reprinted in 6 Cambridge Yearbook of European Legal Studies 73 (Bell & Dashwood ed.s, 2005).

“Devolution & Convergence in Competition Enforcement,” 24 European Competition L.Rev. 413 (2003).

“Lessons To Be Avoided: The Experience South of the Border,” in Canadian Competition Policy: Preparing for the Future Conference Proceedings (2002).

“Some Thoughts on the Rule of Reason,” 22 European Competition L. Rev., 201 (2001).

“Regulation of Mergers & Monopolization,” 5 The M&A Lawyer 17 (2001, with Evans], reprinted in International & Comparative Competition Law & Policies (Yang-Ching Chao, Gee San, Changfa Lo & Jiming Ho eds., 2001).

“Antitrust in the New Bush Administration,” Global Competition Review 13 (Feb./March 2001).

“The Robinson Patman Act,” in The Antitrust Rev. of the Americas (Global Comp. Rev.) (1999).

“Introduction: Innovation Markets,” (with Chung) Symposium on Innovation Markets 28 J. Reprints for Antitrust Law & Economics 441 (Calvani and Chung eds. 1998).

“Market Liberalization and Antitrust Policy,” 26 International Business Lawyer 514 (1998; with Robb).

“Antitrust Analysis of Bank Mergers: The Nations Bank Barnett Merger,” 14 Rev. Banking & Fin. Serv. 23 (1998, with Powell).

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“Markets for Innovation: A Very Practical Problem,” Global Comp. Rev. 27 (Oct./Nov. 1997, with Schmidt).

“Antitrust Analysis of Bank Mergers: A Survey of Recent Development”, 12 Rev. Banking & Fin. Serv. 215 (1996, with Chung).

“The Merger Guidelines: The Practitioners’ Perspective,” 38rust Bull. 643 (1993, with Miller).

“Antitrust Analysis of Bank Mergers: Recent Developments,” 9 Rev. Banking and Fin. Serv. 127 (1993, with Miller).

“An Introduction to the Robinson Patman Act and its Enforcement by the Government,” 59 Antitrust L.J. 765 (1991, with Breidenbach).

“Introducing a Market Economy,” Privatization in Central and Eastern Europe (Butterworths, 1991)

“Is There a Case for Franchising Legislation?” 5 J. Internat’l Franchising & Distribution Law 54 (1990).

“Should the Government Reopen Cleared Mergers? The Government Has the Right to Challenge Mergers After Hart-Scott-Rodino Review,” 4 Antitrust 27 (1990).

“Federal & State Enforcement Cooks in the Advertising Kitchen: Gourmet Fare or Recipe for Disaster,” 13 Advertising Law Anthology XV (1990).

“Regulation of Franchising by the U.S. Federal Trade Commission,” 5 J. Internat’l Franchising & Distribution Law 10 (1990, with Tregillus).

“Antitrust Today: Maturity or Decline,” 35 Antitrust Bull. 123 (1990, with Sibarium), reprinted in 2 The Antitrust Impulse, 605 (Kovaleff ed. 1994).

“Future Direction of Antitrust Law Enforcement,” 29 Washburn L.J. 364 (1990).

“Advertising Regulation: The States v. FTC,” 58 Antitrust L. J. 253 (1989), reprinted in 13 Advertising Law Anthology 17 (1990).

“Rectangles & Triangles: A Response to Mr. Lande,” 58 Antitrust L.J. 657 (1989).

“The Uncertainties of International Geographic Markets,” 1987 Fordham Corp. L. Inst. 59 (B. Hawk ed. 1988; with Wise), reprinted in World Competition L. & Economic Rev. 93 (No. 32, Feb. 1988).

“On Keeping Antitrust Pro-Consumer,” World Link 8 (Dec. 1988).

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“The Federal Trade Commission: A Proposal for Radical Change,” 34 Antitrust Bull. 185 (1989), reprinted in J. Reprints for Antitrust L. & Econ. 539 (1989, Averitt ed.).

“Attorney Advertising & Competition at the Bar,” 31 Vand. L.Rev. 1 (1988, with Langenfeld & Shuford).

“Resolving the Tension Between Health Planning & the Antitrust Laws,” (with Gee), in Cost, Quality, & Access in Health Care: New Roles for Health Planning in a Competitive Environment (Sloan, Blumstein & Perrin eds. 1988).

“Antitrust Risks for Standards Developers,” ASTM Standardization News 60 (Oct. 1987).

“The Federal Trade Commission & Competition in the Delivery of Health Care,” 17 Cumberland L. Rev. 293 (1987, with Neil Averitt).

“Non-Price Predation: An Introduction,” in Non-Price Predation Symposium, 16 J. Reprints for Antitrust L. & Econ. i (Calvani & Averitt eds. 1986; with Averitt).

“Predatory Pricing after Matsushita,” 7 Antitrust No. 3, at 22 (1986; with Lynch).

“Sixty Minutes with the Chairman of the Federal Trade Commission,” 55 Antitrust L. J. 275 (1986).

“The Role of the Federal Trade Commission in American Society,” 39 Univ. Okla. L. Rev. 39 (1986; with Averitt).

“The Federal Trade Commission: 1986,” 2 Benchmark 275 (1986).

“The FTC’s Role In Ensuring Free Trade,” Economic Review 12 (Fed. Res. Bank of Atlanta, Dec. 1985).

“Invocation of U.S. Import Relief Laws As An Antitrust Violation” (with Tritell), 1985 Fordham Corp. L. Inst. (B. Hawk ed. 1986) reprinted in 31 Antitrust Bull. 527 (1986), reprinted in 16 J. Reprints for Antitrust L. & Econ. 473 (1986); reprinted in part in 440 Kosei Torihiti (June B1987).

“Non-Price Predation,” 54 Antitrust L.J. 409 (1985).

“Government Enforcement of the Robinson Patman Act,” 53 Antitrust L.J. 921 (1985).

“An Overview of the Current Debate on Resale Price Maintenance,” 3 Contemporary Policy Issues 1 (1985) (with Langenfeld).

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“Issues in International Antitrust Discovery: View From the Federal Trade Commission,” in Antitrust & Trade Policy in International Trade September 20, 1984 (B. Hawk ed. 1985) (with Tritell).

“Resale Price Maintenance After Monsanto,” 1984 Duke L. J. 1164 (with Berg).

“Consumer Welfare Is Prime Objective of Antitrust,” Legal Times, page 14 (Dec. 1984) reprinted in Economic Analysis and Antitrust Law (Calvani & Siegfried 2d ed., 1988).

“An FTC Commissioner’s View of Regulating Lawyers,” 70 A.B.A.J. 70 (1984), reprinted as “Why the FTC Should Help States Regulate Lawyers,” Los Angeles Daily Journal, Aug. 16, 1984.

Introduction: Current Antitrust Law & United States International Trade Practices,” 15 Vand. J. Trans. L. 667 (1983).

“Introduction: Predatory Pricing Under the Robinson-Patman & Sherman Acts,” 51 Antitrust L.J. 375 (1982) (with Lynch).

“Analysis of the Combined Effects of Certificate of Need Legislation & Changes in the Granting of Hospital Privileges,” 145 Radiology 229 (1982) (with James et al).

“Assessing Market Power: The Use of Private Sources of Market Share Data,” 27 Antitrust Bulletin 1 (1982) (with Siegfried and Berg).

“The Brunswick Doctrine,” 50 Antitrust L.J. 319 (1982).

“Competition at the Bar: The Correlation Between the Bar Examination Pass Rate and the Profitability of Practice,” 67 Virginia L. Rev. 863 (1981) (with Siegfried and Getz).

“Sellers’ Remedies Under the Uniform Commercial Code,”1981 Proceedings of the Mississippi Law Institute 41 (with Pinson).

“Antitrust Law & the Practice of Medicine,” in 2 J. Legal Medicine 75 (1981; with James).

“Effect of Current Developments on the Future of the Robinson Patman Act,” 48 Antitrust L.J. 1692 (1980).

“The Duration of the Associate Years,” 11 The Reporter 21 (1980; with Siegfried and James).

“Antitrust and the Practice of Radiology,” in Legal Aspects of Diagnostic Imaging 147 (E. James ed., 1980).

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“State Action as a Shield and a Sword in a Medical Services Antitrust Context: Parker v. Brown in Constitutional Perspective,” 1978 Duke L.J. 901 (with Blumstein, summarized in Regulation 57 July-August, 1979), reprinted in 10 J. of Reprints for Antitrust Law & Economics 911 (1980).

“Private Sources of Market Share Data: A Comment on Their Antitrust Utility,” 47 Antitrust L.J. 1107 (1979).

Introduction, Symposium: “The Legal History of the South,” 32 Vand. L. Rev. 1 (1979; with Ely).

“The State of the Literature on the Antitrust Laws of U.S.A.,” 6 J. Int. Law Libraries 15 (1978).

“The Early Professional Career of Howell Jackson,” 30 Vand. L. Rev. 39 (1977).

“Functional Discounts Under the Robinson-Patman Act,” 17 B.C. Ind. and Com. L. Rev. 534 (1976).

“Legal Aspects of Prenatal Testing,” 64 Southern Medicine 11 (Oct. 1976).

Essay & Book Reviews-

Review of Lorenzo Pace, European Antitrust Law: Prohibitions, Merger Control & Procedures, 46 J.Econ. Lit. (2008).

Review of Okeoghene Odudu, The Boundries of EC Competition Law: The Scope of Article 81, 51 Antitrust Bull. 1023 ( 2006).

Review of Tommy Koh, The Quest For World Order, 40 Harv. J. Intern’l. L. 1 (1999).

Review of J. Rowley & D. Baker, International Mergers: The Antitrust Process (2d ed. 1996), 42 Antitrust Bull. 215 (1997), reprinted in 28 J. Reprints for Antitrust Law & Economics 617 (1998).

Review of F. Fine, Mergers & Joint Ventures in Europe (2d ed. 1994), 42 Antitrust Bull. 211 (1997).

Review of J. Rowley & D. Baker, International Mergers: The Antitrust Process (1991), 36 Antitrust Bull. 973 (1991).

“Mr. Posner’s Blueprint for Reforming the Antitrust Laws,” [review of R. Posner, Antitrust Law (1976)] 29 Stan L. Rev. 1311 (1977).

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“Two Books on Antitrust,” [review of W. Fugate, Foreign Commerce and the Antitrust Laws (rev. ed. 1973); and E. Kintner and M. Joelson, An International Antitrust Primer (1974)] 73 Mich. L. Rev. 164 (1975).

Reports-

“Some Thoughts on Cartel Penalties,” A Report to the Council of the ABA Antitrust Section (2018; with M Guerin Calvert, K. Hylton, D. Rubinfeld, G Werden, K. Wong-Ervin), published in ABA, theantitrustsource.com (June 2019).

Predatory Pricing and State Below-Cost Sales Statutes in the United States: An Analysis; Report to the Canadian Competition Bureau (April 1999) translated as Les Prix D’Éviction et Les Lois Des États Sur la Vente Sous Le Prix Coûtant Aux États-Unis.

A Proposal for a Mid-Atlantic Aviation Tribunal (1986) (with Ayling et al.), reprinted in World Competition (formerly Swiss Rev. of Internat’l Competition L.) No. 31, pp. 99-103 (Oct. 1987).

Report of the ABA Antitrust Section Special Committee on Antitrust Penalties & Damages (1982) (with Armstrong et al.; 85 pp.).

Antitrust Consequences of the Backhaul Provisions of the Motor Carrier Act of 1980: Report to the ABA Antitrust Section Robinson-Patman Committee (1981) (with Weiss and Dunlap).

Selected Opinions:

In re General Motors Corp., 103 F.T.C. 691 (1984).

In re American Medical International, Inc., 104 F.T.C. 177 (1984).

In re Hospital Corp. of America, 106 F.T.C. 361 (1985), aff’d, 807 F.2d 1381 (7th Cir. 1986), cert. denied, 481 U.S. 1038 (1987).

In re Boise Cascade Corp., 107 F.T.C. 199 (1986), rev’d and remanded, 837 F.2d 1127 (D.C. Cir., 1988), on remand, 113 F.T.C. 956 (1990).

In re The B.F. Goodrich Co., 110 F.T.C. 207 (1988), appeal docketed, No. 88-4065/66 (2d Cir., 1988), dismissed per stipulation (1989).

In re Mass. Bd. of Optometry, 110 F.T.C. 549 (1988).

In re Removatron International Corp., 111 F.T.C. 206 (1988), aff’d, 884 F.2d 1489 (1st Cir., 1989).

In re Midcon Corp., 112 F.T.C. 155 (1989).

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Conference Presentations:

Papers and Selected Continuing Education Presentations—

A Larger Role for the Hearing Office: A Modest Proposal, Oxford University Antitrust Enforcement Symposium, Oxford, June 26-27, 2014 (with Leahy).

Is There Too Much Traffic on the Competition Enforcement Autostrada: A Role for Negative Comity,” Fordham Corp. Law Inst. (with Steward-Teitelbaum), New York, Sept. 22, 2016..

“Current Antitrust Issues of Interest to the Petroleum Industry,” ABA Section of Environment, Energy & Resources, Washington, Petroleum Marketing Attorneys Meetings, Washington, April 16, 2015.

“Cartel Leniency: 2015,” ELIG Conference on Advanced Contemporary Competition Law Issues, Istanbul, March 15, 2015.

“U.S. Antitrust Enforcement During A ‘Shutdown’,” IBA Annual Meeting, Boston, October 8, 2013.

“A Primer on Cartels,” Fundamental Program, Antitrust in Asia: Developments in India's Regime Conference, New Delhi, November 30, 2012.

“The Competition Act, 2002, Ten Years Later: Lessons from the Irish Experience of Prosecuting Cartels As Criminal Offences,” Program on Antitrust Enforcement, Pembroke College, Oxford Univ., Sept. 23, 2012.

“Custodial Sentences for Cartel Offences: Deterrent or License Fee,” Escola Galega de Administración Pública, Santiago de Compostela, March 18, 2010.

“Custodial sanctions for cartel offences: An appropriate sanction in Australia?”, Univ. of S. Australia Trade Practices Conf., Adelaide, Oct. 17, 2009 (with Torello H. Calvani).

“BRIC in the International Merger Review Edifice,” Cornell International Law Journal Symposium, Ithaca, NY, Feb. 27-28, 2009 (with Alderman).

“Gregor MacGregor & Other Miscarriages of Justice,” Scottish Competition Law Forum, Edinburgh, Dec. 3, 2008.

Keynote Address, OFT Conf. on Market Studies, London, June 4, 2008.

“Recent Developments in Antitrust Enforcement,” Dallas Bar Assoc., Dallas, Nov. 20, 2007.

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"LNG Diversion Cargoes: How to Escape the Antitrust Hangman?", 3rd Law of LNG Conference, Houston, September 5, 2006.

"The U.S. Experience with Criminal Sanctions for Competition Offences," Oxford University Centre for Competition Law & Policy, May 8, 2006 & May 27, 2007.

"U.S. Antitrust Law & Private Enforcement," Oxford University Centre for Competition Law & Policy, May 5, 2006 & May 30, 2007.

"Antitrust Developments," 43d Annual Southeastern Corporate Law Institute, Destin, Florida, April 26, 2006.

“International Enforcement of Vertical Issues,” ALI-ABA,

• New Orleans, March 17, 2005.

• Scottsdale, March 18, 2006.

• Scottsdale, March 6, 2008.

• Philadelphia, June 22, 2011.

• San Francisco, June 19-20. 2012.

• Philadelphia, June 26-28, 2013.

• Chicago, June 18-20, 2014.

“Competition Penalties & Damages in a Cartel Context,” Remedies & Sanctions in Competition Policy, Amsterdam Center for Law & Economics, Univ. of Amsterdam, Feb. 17, 2005.

“Criminal Sanctions & Civil Remedies in Antitrust,” Kings College, Univ. of London, Jan. 21, 2005.

“Custodial Sanctions for Violation of Cartel Law: Will Europe Follow America?” GMA Legal Conf., Washington, D.C., Oct. 20, 2004.

“Promoting International Cooperation & Convergence Through Bilateral Relationships & Multilateral Networks,” 90th Anniversary of the Federal Trade Commission Symposium, Washington, D.C., September 23, 2004.

“Deterrence & Compensation Under the Competition Act of 2002” Irish Centre for European Law, Dublin, May 8, 2004.

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“Should Canadians Mimic U.S. Private Rights of Antitrust Actions,” Canadian Bar Assoc., Ottawa, Oct. 3, 2003.

“Emerging Issues from the Perspective of a Smaller Member State: Convergence, Devolution & Criminalization,” Max Planck Inst., Munich, July 18, 2003.

“Modernization: Challenges for the Smaller Member States,” Regulatory Policy Inst., Oxford University, July 15, 2003.

“Convergence & Devolution in Antitrust,” American Bar Association Antitrust Section, New York, Feb. 5, 2003.

“Criminal Antitrust Enforcement in Ireland Today, --The Law Society of Ireland, Dublin, Feb. 18, 2004. --Southern Law Assoc., Cork, Oct. 30, 2003. --IBEC, Cork, Feb. 28, 2003, --IBEC, Dublin, Feb. 2, 2003, --The Law Society of Ireland, Dublin, Nov. 30, 2002, printed as “Us & Them,” Law Society Gazette 28 (April 2003).

“Current Topics in U.S. Merger Law,” --Hawksmere, Brussels, Oct. 17,2002. --The Law Society of Ireland, Dublin, July 17,2002.

“Antitrust Issues in Product Distribution: FTC Enforcement,” --ALI-ABA, San Francisco, March 7, 2002. --ALI-ABA, New Orleans, March 14, 2001 --ALI-ABA, Scottsdale March 9, 2000 --ALI-ABA, Orlando, January 21, 1999 --ALI-ABA, San Francisco, March 19, 1998 --ALI-ABA, New Orleans, March, 1997 --ALI-ABA, Salt Lake City, Jan. 15, 1996. --ALI-ABA, Orlando, March 24, 1995. --ALI-ABA, San Francisco, March 17, 1994. --ALI-ABA, New Orleans, March 4, 1993. --ALI-ABA, Denver, Nov. 12, 1991. --ALI-ABA, Orlando, Feb. 28, 1991. --ALI-ABA, Phoenix, Mar. 8, 1990. --PLI, San Francisco, Feb. 16, 1990. --PLI, New York, Jan. 26, 1990.

“Advertising Regulation: The States and the FTC” --ALI-ABA, San Francisco, March 8, 2002. --ALI-ABA, New Orleans, March 15, 2001. --ALI-ABA, Scottsdale, March 9, 2000 --ALI-ABA, Orlando, January 22, 1999

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--ALI-ABA, San Francisco, March 20, 1998 --ALI-ABA, New Orleans, March 1997. --ALI-ABA, Salt Lake City, Jan. 15, 1996. --ALI-ABA, Orlando, March 24, 1995. --ALI-ABA, San Francisco, March 18, 1994. --ALI-ABA, New Orleans, March 5, 1993. --ALI-ABA, Denver, Nov. 13, 1991. --ALI-ABA, Orlando, Mar. 1, 1991. --ALI-ABA, Phoenix, Mar. 8, 1990. --ABA Antitrust Section, Washington, Apr. 6, 1989. --American Advertising Federation, Washington, March 21, 1989. --ALI-ABA Antitrust Program, Dallas, Jan. 6, 1989. --National Advertising Review Board, New York, Dec. 14, 1988.

“Merger Review in the United States,” Hawksmere European Competition Policy Program, Brussels, October 17, 2001.

“Lessons To Be Avoided: Mistakes from South of the Border,” Canadian Competition Policy: Preparing for the Future, Toronto, June 19, 2001.

“Antitrust in the New Bush Administration,” PMPA Legal Conference, Washington, March 27, 2001.

“B2B Electronic E-Commerce & Antitrust,” PLI Program on E-Commerce, San Francisco, September 18, 2000.

"The Law of Mergers & Monopolization," Taipei 2000 International Conf. on Competition Policy, Taipei, June 19, 2000.

“The Current Climate for Vertical Cases in the U.S.,” IBA Antitrust Program, Fiesole, October 29, 1999.

“Markets for Innovation,” --Business Development Antitrust Program, September 15-16, 1999 --ABA Antitrust Section Mini-program, Boston, May 5, 1999.

“U.S. Enforcement Policy: Bid-Rigging,” Conselho Administrative de Defesa Economica, Brasilia, December 3, 1998.

“The Role of Competition Policy in Market Liberalization,” Global Forum for Competition Policy, Rio de Janeiro, May 14, 1998.

“Injury to Competition Under the Robinson Patman Act”, ABA Antitrust Section, Chicago, May 1, 1997.

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“U.S. Merger and Joint Venture Antitrust Law,” European and U.S. Competition Law, London, March 17-18, 1997.

“Antitrust Issues of Relevance to the Credit Industry,” National Food Service Manufacturers’ Credit Group, Fort Lauderdale, November 12, 1996.

“Current Issues under the Robinson Patman Act,” Antitrust: 1996, Washington, October 22, 1996.

“Living With Dominance: the Abuse of Success,” Second Annual Conference, European & US Competition Law, London, March 6, 1996

“Overview of Antitrust & Trade Regulation Laws & the Electric Utility Industry,” Market Power & Antitrust in the Changing Electric Industry Conference, Washington, DC, October 25-26, 1995.

“Important Antitrust Developments of Interest to Corporate Counsel.” --Corp. Counsel Inst., San Francisco, November 30-December 1, 1995. --Corp. Counsel Inst., Chicago, Oct. 19-20, 1995.

“An Introduction to the Robinson Patman Act,” --ABA Antitrust Section, Chicago, May 11, 1995 --ABA Antitrust Section, Washington, March 1994. --ABA Antitrust Section, Washington, March 31, 1993. --ABA Antitrust Section, San Francisco, August 10, 1992. --ABA Antitrust Section, Washington, April 1, 1992.

“Predatory Pricing Under E.U. & U.S. Rules”, European & US Competition Law, London, February 13, 1995.

“Bank Mergers: A New Era,” --Bank Consolidations - Bank Mergers and Antitrust Scrutiny: A Panel Discussion, New York, December 12, 1994. --Amer. Conf. Inst., Washington, Oct. 21, 1993. --Financial Services Law Inst., Chicago, Oct. 22, 1992. --1992 Finance Executive Inst., Palm Springs, April 22, 1992.

“The New Antitrust Guides for International Operations”: --Comparative Law Center, Osaka, December 8, 1994. --Keidanren, Tokyo, December 5, 1994.

“Antitrust in the GATT Context”, IBA, Melbourne, Australia, Oct. 10, 1994.

“Emerging Distribution Issues: Pricing Products in the ‘90s,” ABA Annual Meeting, New Orleans, Aug. 9, 1994.

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“The Morton Salt Inference in 1994,” ABA Antitrust Section, Washington, March 1994.

“Communication Among Competitors,” ABA Institute, New York, Oct. 14, 1993.

“Antitrust in the Clinton Administration,” ABA Com. on Corp. Law Depts., New York, Aug. 9, 1993.

“The History and Organization of the Robinson-Patman Act,” --ABA Antitrust Section, Chicago, May 13, 1993. --Grocery Manufacturers of America, Chantilly, Va., Aug. 11, 1991. --ABA Antitrust Section, Los Angeles, May 21, 1991. --PLI, New York, Nov. 29, 1990. --ABA Antitrust Section, Chicago, Nov. 1, 1990. --ABA Antitrust Section, Chicago, May 4, 1989.

“Antitrust Developments,” PMPA Annual Meeting, Washington, March 29, 1993.

“Antitrust and Trade Policy in the New Clinton Administration,” Canadian Council for International Business, Toronto, March 25, 1993.

“Current Regulatory Issues Affecting Acquisitions,” Executive Enterprises’ Bank Mergers and Acquisitions 1993, New York, Jan. 21 22, 1993.

“The Current Antitrust Climate,”

--Corp. Counsel Inst., San Francisco, Dec. 3, 1992.

--Corp. Counsel Inst., Chicago, Oct. 8, 1992.

“Antitrust and Health Care: New Developments,” Alabama Bar Institute, Calloway Gardens, May 29, 1992

“Market Power and the Robinson Patman Act,” ABA Antitrust Section, Washington, Oct. 18. 1991.

“Antitrust and Nonprofit Organizations: Law and Policy,” ABA Annual Meeting, Atlanta, Georgia, August 13, 1991.

“The Role of Antitrust in a Market Economy,” International Bar Assoc., Prague, June 25, 1991

“Antitrust Enforcement at the F.T.C.: An Appraisal,” --PLI, New York, June 9, 1992. --PLI, New York, June 4, 1991.

“The Role of Antitrust Enforcement Agencies in Regulated Industries,”

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--Mid-America Regulatory Conf., Little Rock, June 3, 1991. --Antitrust & Natural Gas & Electricity in the 1990’s, Energy Decisions, Washington, March 7-8, 1991. --The Natural Gas Symposium Energy Decisions, Houston, Oct. 10, 1990. --S.E. Conf. of Public Utilities Commissioners, Williamsburg, Jun. 16, 1989.

“The Competitive Injury Requirement Under the Robinson Patman Act: Recent Developments,” ABA Antitrust Section, Washington, April 10, 1991.

“The Reagan Revolution in Antitrust: Its Future,” --N.C. Bar Assoc., Raleigh, Nov. 30, 1990. --Chicago Bar Assoc., Chicago, Nov. 28, 1990. --Ala. Bar Assoc., Point Clear, July 20, 1990. --Nat’l Assoc. of Mfgrs., New York, Feb. 13, 1990. --State Bar of Georgia, Atlanta, Nov. 3, 1989. --Ohio State Bar Assoc. Antitrust Section, Columbus, Oct. 27, 1989. --Louisiana State Bar Assoc. Antitrust Section, New Orleans, Sept. 11, 1989. --NERA Tenth Annual Seminar on Antitrust & Trade Regulation, Santa Fe, July 6, 1989. --Ohio Continuing Legal Inst., Columbus, June 14, 1989. --DC Bar Association Antitrust Symposium, Washington, February 28, 1989.

“F.T.C. Experience in Antitrust Health Care “Enforcement.” --Univ. of Chicago School of Business, May 4, 1990, printed in Antitrust Intervention in the Health Care Industry: Proceedings of the 32d Annual Geo. Bugbee Symposium, Univ. of Chicago, 40 (1991). --Amer. Group Practice Assoc., Washington, April 4, 1990.

“The FTC Agenda in the Energy Industry,” --Energy Decisions, Inc., Houston, TX, October 10, 1990. --ABA Third Annual Conf. on Canada/U.S. Trade in Energy Issues, ABA, Montreal, May 19, 1988. --ABA Natural Resources Law Section, New Orleans, June 2, 1987.

“Franchising & the F.T.C.”, --Twelfth Annual Nat’l Franchise Law Inst., Kansas City, April 27, 1990. --PLI, NY, Mar. 21, 1990. --PLI, Los Angeles, Feb. 7, 1990. --PLI, NY (“Teleconference”) Nov. 11, 1989. --ABA Forum Comm. on Franchising, Twelfth Annual Forum, Toronto, Oct. 12, 1989. --PLI, Los Angeles, March 16-17, 1989. --PLI, New York, Feb. 16-17, 1989. --PLI, Los Angeles, March 17-18, 1988. --PLI, New York, Feb. 11-12, 1988.

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--ABA Forum Comm. on Franchising, Tenth Annual Forum, Tucson, Oct. 28-30, 1987.

“Mergers & Acquisitions: Antitrust Implications in the New Administration,” Peanut Butter Processors Assoc., Phoenix, Jan. 15, 1990.

“Antitrust Treatment of Restructuring and Concentration on a Single Market: The U.S. Point of View,” International Bar Assoc., Strasbourg, Oct. 4, 1989.

“The Antitrust Laws of the U.S.,” U.S.-U.S.S.R. Legal Forum, --Leningrad, Sept. 30, 1989. --Moscow, Sept. 27, 1989.

“Competition at the Bar”, --Arizona State Bar Antitrust Section, Phoenix, June 8, 1989. --Vanderbilt Univ. School of Law, Nashville, Jan. 29, 1988 (with Langenfeld).

“Self Regulation Through Voluntary Standards,” --Amer. Nat’l Standards Inst., Washington, March, 1989. --Industrial Safety Equipment Assoc., Arlington, Nov. 17, 1987. --Amer. Nat’l Standards Inst., Washington, March 25, 1987.

“Proposed FTC Commentary on the Fair Credit Reporting Act,” Executive Conference Assoc. Credit Bureaus, Inc., Scottsdale, Jan. 17, 1989.

“Does the F.T.C. Need to Be Fundamentally Restructured?” ALI-ABA Antitrust Program, San Francisco, May 6, 1988.

“The Uncertainties of International Geographic Markets,” Fordham Univ. Corp. Law Inst., New York, Oct. 22, 1987.

“The Constitutionality of the ‘Independent’ Federal Agencies,” --Dallas Bar Assoc., Dallas, Sept. 29, 1987. --Fed. Bar Assoc., Memphis, Sept. 17, 1987.

“Current Credit Issues at the FTC,” --Merchants Research Council, Boyne Mtn., Mich., July 9, 1987. --Merchants Research Council, Palm Springs, March 9, 1988.

“Trademark Issues at the Federal Trade Commission,” U.S. Trademark Assoc., Boston, April 27-28, 1987.

“Non-Price Predation in the Certificate of Need Context,” National Health Lawyers Assoc., Washington, Jan. 1987.

“The FTC in 1987,” --Mich. St. Bar Assoc., Ann Arbor, July 24, 1987.

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--Newspaper Publishers Assoc., Nashville, April 10, 1987. --Detroit Area Business Economists Assoc., Feb. 23, 1987. --Economic Forum, Albuquerque, Nov. 26, 1986.

“The Rule of Reason,” --ALI-ABA, Dallas, Jan. 7, 1989. --ALI-ABA, San Francisco, May 5, 1988. --Distribution of Products at Wholesale & Retail: Antitrust Problems, ALI-ABA, Atlanta, Nov. 12, 1987. --Ore. State Bar Assoc. Antitrust Section, Portland, April 24, 1987. --20th Antitrust Institute, Ohio St. Bar Assoc. Antitrust Section, Columbus, Dec. 5, 1986. --20th New England Antitrust Conf., Boston, Nov. 15, 1986.

“Cooperative Advertising and the Robinson-Patman Act,” Assoc. of National Advertisers, Washington, Oct. 1, 1986.

“The Constraints of Antitrust,” Conf. on the Role of Health Planning in a Competitive Environment, Vanderbilt Univ., Nashville, May 15-16, 1986.

An Interview with the Chairman, ABA Antitrust Section, Washington, April 11, 1986.

“The Future of Regulation,” --Nashville Society of CPA’s, Nashville, Nov. 29, 1988.

--Nashville Business Exposition, Nashville, April 1, 1986.

“Current Advertising Issues at the Federal Trade Commission,” --ALI-ABA, Atlanta, Nov. 14, 1987. --Automobile Advertisers’ Council, Arlington, Oct. 19-20, 1987. --Alabama Broadcasters Assoc., Birmingham, Jan. 17, 1987. --Birmingham Advertising Club, Birmingham, Feb. 17, 1986; Sept. 19, 1986. --Nashville Advertising Federation, Nashville, March 17, 1986. --American Advertising Federation, Washington, December 1985. --National Advertising Review Board, New York, December 1985, reprinted in New Trends in Advertising 21 (Amer. Adv. Fed. 1985).

“International Trade Issues At the Federal Trade Commission,” --Southeastern International Trade Conference, Mobile, April 30, 1987. --Federal Reserve Bank of Atlanta, Nov. 14, 1985.

“The Role of the Federal Trade Commission in American Society,” Univ. of Oklahoma School of Law, Norman, Nov. 3, 1985.

“Invocation of United States Tariff Relief Laws As An Antitrust Violation,”

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--PLI, Washington, Dec. 3, 1985 --Fordham Corporate Law Inst., New York, Oct. 3, 1985

“Non Price Predation: A New Antitrust Horizon,” --ABA National Institute on the Cutting Edge of Antitrust, Washington, D.C., Oct. 5, 1989. --ABA Nat’l Inst. on Antitrust & Government Contracting, Washington, June 22, 1989. --Tex. Bar Assoc. Antitrust Section, Houston, Oct. 24, 1986. --Antitrust Update, Washington State Bar Assoc., Seattle, Dec. 1985. --American Bar Assoc. Antitrust Section, Washington, July 9, 1985.

“The Purpose of Antitrust,” State Bar of Texas Antitrust Section, Dallas, April 25, 1985.

“Competition in the Delivery of Health Care: The Federal Trade Commission Agenda,”

--Amer. Assoc. of Law Schools, Miami, Jan. 10, 1988. --Ala. Bar Assoc. Antitrust Section, Birmingham, Nov. 19, 1987. --American Academy of Environmental Medicine, Nashville, Oct. 31, 1987. --Tenn. Academy of Hosp. Attorneys, Nashville, Oct. 16, 1987. --American Medical Assoc., New Orleans, March 15, 1986. --Cumberland Law School, Birmingham, Feb. 21, 1985. --American Bar Assoc., New Orleans, Feb. 20, 1985, reported in full text Trade Reg. Rep. (CCH) 50,001.

“The FTC 1984,” PLI, Washington, Dec. 13, 1984.

“Resale Price Maintenance After Monsanto,” --Southeast Corp. Law Inst., Point Clear, April 13, 1985. --La. State Bar Assoc. Antitrust Committee, New Orleans, March 15, 1985. --21st Symposium on Trade Assoc. Law & Practice, D.C. Bar Assoc., Washington, Feb. 28, 1985. --St. Louis Bar Assoc., St Louis, Nov. 9, 1984. --18th New England Antitrust Conf. (ALI-ABA), Boston, Sept. 20, 1984.

“Issues in Internat’l Antitrust Discovery: View From the Federal Trade Commission,” Antitrust and Trade Policy, Fordham Univ., New York, Sept. 20, 1984.

“Government Enforcement of the Robinson-Patman Act,” American Bar Assoc., Chicago, May 17, 1984.

“Consumer Protection at the FTC: 1984,” --National Assoc. of Attorneys General, Santa Fe, Oct. 10, 1984.

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--Minnesota Bar Assoc. Corporate Counsel Section, Minneapolis, April 19, 1984. --Merchants’ Research Council, Fort Lauderdale, March 30, 1984.

“Current Antitrust Agenda at the Federal Trade Commission,” --Univ. of London, May 6, 1986. --Petroleum Landsmen Assoc., New Orleans, April 28, 1986. --Federal Energy Bar Assoc., New Orleans, April 28, 1986. --Grocery Manufacturers’ Assoc., Washington, April 22, 1986. --Notre Dame Law School, South Bend, April 7, 1986. --Fla. St. Univ. School of Law, Feb. 3, 1986. --Ga. State Bar Assoc. Antitrust Section, Atlanta, Jan. 9-10, 1986. --National Assoc. of Manufacturers, Orlando, Sept. 9, 1985. --Albuquerque Bar Ass’n, Albuquerque, Jan. 8, 1985. --Antitrust Update, Washington State Bar Assoc., Seattle, Dec. 7, 1984. --Trade Regulation of Business, Iowa State Bar Assoc., Des Moines, Sept. 26, 1984. --Conf. of Western Attorney’s General, Salishan Lodge, Salishan Lodge, Ore., Aug. 23, 1984. --Inst. for Corp. Counsel, Los Angeles, March 16, 1984.

“Cooperative Purchasing in the Health Industry: An Antitrust Perspective,” --Univ. of Mo., Kansas City, April 22, 1985. --National Health Lawyers Association, Washington, January 26, 1984.

“Antitrust Problems of Colleges and Universities,” National Association of College and University Attorneys, New Orleans, July 25-27, 1983.

“The Southern Union Litigation: MDL 403,” American Gas Assoc., Alexandria, Va., March 22, 1983.

“The State Action Immunity & Noerr-Pennington Defenses,” American Gas Assoc., Alexandria, Va., March 31, 1982.

“Sellers’ Remedies Under the Uniform Commercial Code,” Mississippi Law Institute, Jackson, December 4-5, 1981.

“The Robinson-Patman Act: Recent Developments of Interest to the Soft Drink Industry,” National Soft Drink Association Conference, Washington, October 12 14, 1981.

“The Development of the Brunswick Doctrine,” ABA Antitrust Section Annual Meeting, New Orleans, August 11, 1981.

“Antitrust and the General Practitioner,” Ala. Bar Assoc. Antitrust Section, Birmingham, May 22, 1981.

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“The Relationship Between Profits to Lawyers and Barriers to Entry to the Profession,” Research Workshop, Law & Economics Center, Coral Gables, October 1979 (with Siegfried and Getz).

“Buyer Liability Under The Robinson-Patman Act,” ABA Antitrust Section Annual Meeting, Dallas, August 13, 1979.

“The Economist as an Expert Witness: Some Current Problems in Antitrust,” Vanderbilt Continuing Legal Education Program, Nashville, October 27, 1978.

“Competition in the Legal Services Industry,” 1978 Annual Meeting: Western Economics Association, Honolulu, June 20, 1978 (with Siegfried and Getz).

“Antitrust Considerations in the Practice of Medicine,” Conference on Legal Medicine with Particular Emphasis on Diagnostic Imaging, Nashville, April 19-21, 1978.

“Antitrust and the Delivery of Health Care Services: The Doctrine of Parker versus Brown & Professional Regulation,” Conf. on Antitrust Issues in Health, American Enterprise Institute, Washington, December 19�20, 1977 (with Blumstein).

“The Scope of Article II, Contract Formation & Interpretation,” Conference on the Uniform Commercial Code, University of Tennessee, June 9 11, 1977.

“The Uncertain Road to the Supreme Court, The Legal Career of Howell E. Jackson,”

--Law Day, Jackson Bar Assoc., Jackson, TN, May 8, 1986. --Cordell Hull Forum Lecturer, Cumberland Law School, Birmingham, November 11, 1980. --Annual Meeting, Tennessee Society for the Preservation of Antiquities, Nashville, May 1980. --Annual Meeting, American Society for Legal History, Philadelphia, October 23, 1976.

“Legal Aspects of Prenatal Testing,” Symposium on the Prevention of Birth Defects, Nashville, April 30, 1976.

Consultation & Training for National Competition Authorities:

• Revisions to the Competition Law of Vietnam, Economic Committee of the Vietnamese National Assembly, Hanoi, April 20, 2018.

• Film: ICN Curriculum Module VI-3, Practicalities in Planning a Dawn Raid, 2017 at http://www.icnblog.org/practicalities-in-planning-a-dawn-raid/launcher.html.

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• Merger Review & Cartel Enforcement in the U.S. and E.U., Comisión Federal de Competencia Económica, Mexico, D.F, Oct. 21, 2015.

• Film: ICN Curriculum Module, Merger Remedies, 2015 at http://www.icnblog.org/merger-remedies/launcher.html#.

• Film: ICN Curriculum Module V-1, Competition Advocacy, 2013 at http://www.internationalcompetitionnetwork.org/about/steering-group/outreach/icncurriculum/compadv.aspx.

• Film: ICN Curriculum Module #4: Market Power, 2011, at http://www.internationalcompetitionnetwork.org/working-groups/vice-chair/outreach/icncurriculum.aspx.

• Cartel Enforcement Training, Competition Commission of Mauritius, Port Louis, Mauritius, Jan. 18-21, 2011.

• Cartel Enforcement Training, Competition Commission of India, Washington, October 26, 2011 (sponsored by U.S. Chamber of Commerce).

• Merger Enforcement Training, Anti-Monopoly Division of MOFCOM, Beijing, Dec. 14-17, 2008 (sponsored by American Bar Association Antitrust Section).

• Competition Law Training, Commission for the Supervision of Business Competition of Indonesia [predecessor to], Jakarta, June 17-18, 1993.

• Competition Law Training, Monopolies & Pricing Commission of Kenya, Nairobi, Jan. 17-18, 1990 (sponsored by the U.S. Federal Trade Commission and the U.K. Office of Fair Trading).

• Competition Law Training, Monopolies & Pricing Commission of Kenya, Nairobi, 1985 (sponsored by OECD).

Invited Conference Participation:

Panelist, “Non-Competition Factors in Merger Regimes: Really?,” An Antitrust Professor on the Bench, Liber Amicorum: Douglas Ginsburg, Arlington, VA, Nov. 5, 2018.

Moderator, ‘"E-Commerce and Antitrust: A Multijurisdictional Challenge," Fordham Corp. Law Inst., New York, Sept. 14, 2017.

Moderator & Panelist, “Leveling the Playing Field,” ABA Antitrust in the Americas, Mexico City, June 1, 2014.

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Panelist, Cartel Issues, ABA Antitrust Section Masters Program, Williamsburg, VA, Sept. 29, 2016.

Panelist, “Vertical Restraints in Europe, ”Seventh Annual Chicago Forum on International Antirust Issues, Chicago, June 17, 2016.

Panelist, “The ICN: Its Value to Corporate Counsel ”Seventh Annual Chicago Forum on International Antirust Issues, Chicago, June 16, 2016.

Panelist, “Fundamentals of Cross Border Monopolization”, ABA Antitrust Section Annual Spring Meeting, Washington, April 6, 2016.

Moderator, Keynote Panel, George Mason Univ. 19th Annual Antitrust Symposium: Due Process in Competition Law Enforcement, Rosslyn, VA, Feb. 18, 2016.

Panelist, “On Line Vertical Restraints: The US Perspective,” ICN Plenary Meeting, Sydney, April 30, 2015.

Panelist, “Are FTC Enforcement Guidelines Needed for Section 5 of the FTCA,” Baker Hostetler Program on Section 5 of the FTCA, Washington, Feb. 25, 2015.

Moderator, Keynote Panel, George Mason Univ. 18th Annual Antitrust Symposium: Perspectives on Global Competition Law, Rosslyn, VA, Feb.19, 2015.

Panelist, Law Council of Australia, Annual Competition Law Workshop, Brisbane, Sept. 12-14, 2014.

• The ACCC Un-zipped: A Candid Conversation about Procedural Transparency, Sept. 13.

• Pricing Arrangements in Vertical and Agency Structures, Sept. 14.

Moderator, Cartels, The Antitrust Enforcement Symposium 2014, Pembroke College, Oxford Univ., June 28, 2014.

Panelist, Competition Laws Developments in Southeast Asia,

• American Chamber of Commerce, Hanoi, Feb. 26, 2014.

• EuroCham [of Commerce], Saigon, Feb. 27, 2014.

Commentator, Cartel Overcharges, Navigant Economics Program on Class Action Litigation, Boston, October 25, 2013.

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Panelist, “The Role of NCA’s in the National Courts, IBA Conference, Warsaw, April 23, 2013.

Moderator, “Is Asian Antitrust Law Fundamentally Different? GCL—Second Annual Asia Law Leaders Conf., Singapore, March 15, 2013.

Panelist, Cartel Laws, Antitrust in Asia: Developments in India's Regime Conference, New Delhi, December 1, 2012.

Panelist, Antitrust in the BRIC Countries, IBA Annual Meeting, Dublin, October 1, 2012.

Moderator, Cartel Panel, Program on Antitrust Enforcement, Pembroke College, Oxford University, September 23, 2012.

Moderator, “International Cooperation among Enforcement Agencies in the America’s,” ABA Antitrust Section/IBRAC Conference on Antitrust in the America’s, Rio de Janeiro, June 16, 2011.

Panelist, “International Enforcement & Cooperation” & “Antitrust Counseling,” ABA Antitrust Masters Course V, Williamsburg, September 30, 2010.

Panelist, “Lessons from Europe,” What Next for US Merger Policy & the Horizontal Merger Guidelines, LECG,

• Washington, Dec. 2, 2009.

• New York, Dec. 1, 2009.

Panelist, EU Merger Control, 8th Annual IBA International M&A Conf., New York, June 24, 2009.

Panelist, “Antitrust & the Rule of Law,” Brit. Inst. of Internat’l & Comp. Law, Roundtable, Cambridge, MA, April 17, 2009, published at 22 Loy. Consumer L.Rev. 1 (2009).

Panelist, Predatory Pricing, ICN Workshop, Washington, March 23-24, 2009.

Panelist, Report on Unilateral Conduct, ICN, Kyoto, April 14, 2008.

Panelist, Comparative Competition Law in the United States & the European Union, The European Union—A Model for the US?, American Univ. Washington College of Law, Washington, March 28, 2007.

Panelist, "Securing Immunity," Canadian Bar Association Annual Antitrust Conference, Ottawa, September 28, 2006.

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Panelist, "Enforcement Role for the States," ABA Antitrust Section—The Antitrust Modernization Commission at Mid-Course, Washington, June 8, 2006.

Panelist, "Enforcement Perspectives Around the World," ABA Antitrust Section Spring Meeting, Washington, March 29, 2006.

Chair, "A World of Antitrust Enforcers: Tragedy or Comity?", ABA Antitrust Section Spring Meeting, Washington, March 29, 2006.

Panelist, "Joint Defense," ABA-IBA 2006 International Cartel, London, February 10, 2006.

Panelist, “Developments in Competition Law in the EU & US: Harmony & Conflict,” N.Y. State Bar Assoc., London, September, 2005.

Panelist, International Competition Compliance, Canadian Corporate Counsel Assoc., Toronto, April 18, 2005.

Discussant, International Antitrust Convergence: Reality or Illusion, ABA Antitrust Section Spring Meeting, Washington, March 30, 2005.

Chair, Issues of Enforcement, Workshop on Competition Remedies & Sanctions, Amsterdam Center for Law & Economics, Univ. of Amsterdam, Feb. 17, 2005.

Panelist, Cartel Enforcement Now, ABA International Program, Miami, Jan. 24, 2005.

Chair, “Immunity After An Investigation Is Underway,” ICN Immunity Workshop, Sydney, Nov. 22, 2004.

Panelist, “Searches, Raids & Inspections,” 2004 ICN Cartel Workshop, Sydney, Nov. 21, 2004.

Chair, “Tools & Techniques for the Detection of Cartels,” 2004 ICN Cartel Workshop, Sydney, Nov. 20, 2004.

Panelist, “International Cartel Enforcement,” IBC 11th Annual Advanced EC Competition Law Conf., Brussels, Nov. 9, 2004.

Chair, California Bar Assoc. Golden State Institute, Program on International Antitrust, Los Angeles, October 21, 2004.

Panelist, “Private Enforcement of Competition Law,” BIICL Competition Law Forum, London, Sept. 15, 2004.

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Panelist, “Criminal Sanctions & Regulation No.1/2003: Panacea for Effective Enforcement or Uneasy Bedfellows?” Irish Centre for European Law, Dublin, June 26, 2004.

Panelist, EC Modernization: What the New Competition Regime In Europe Means For You, Assoc. of Corp. Counsel Europe Annual Meeting, Prague, June 22, 2004.

Panelist, Criminalisation, Designing Compliance Programmes that Work, London, June 8, 2004.

Panelist, International Cartel Roundtable, Fordham 30th Annual International Conference on Antitrust Law & Policy Conf., New York, Oct. 23, 2003, printed in 2003 Proc. of the Fordham Corp. Law Inst. 913 (Hawk ed.; 2004).

Panelist, International Developments in Competition Law, Canadian Bar Assoc., Ottawa, Oct. 2, 2003.

Participant, Impact of Modernization in Ireland, Union Internationale des Avocats, Dublin, May 23, 2003.

Participant, International Cartel Conf., Bonn, May 18-20, 2003.

Discussant, EU Competition Law Program, Irish Centre for European Law, Dublin, Nov. 23, 2002.

Panelist, Competition Policy 2002, Cambridge, Ontario, May 8-10, 2002

Participant, International Cartel Conf., Berlin, May 20-22, 2001.

Moderator, "Consumer Protection Through Codes," Internat'l Society of Consumer & Competition Officials, Taipei, June 21, 2000.

Moderator, "Program on Technological Development & Competition Policy, Taipei 2000 International Conf. on Competition Policy, June 20, 2000.

Moderator, "The Microsoft Case," The Federalist Society, Washington, May 25, 2000.

Moderator, “International Merger Review -- Filing Obligations,”

Seventh Annual Golden State Antitrust and Unfair Competition Law Institute, California State Bar Assoc., San Francisco, October 21, 1999.

Participant, International Cartel Conference, Berlin, May 9-10, 1999

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Panelist, “Internationalization of Merger Review” 1999 Harvard International Management Symposium: Business Diplomacy, Cambridge, February 24, 1999.

Panelist, “Procedural Aspects and Competition and Regulation,” IV Seminar on Competition Policy: Angra dos Reis, June 26-27, 1998.

Panelist, “Legal Aspects of Competition Cases,” CADE & World Bank Seminar: Competition Policy and the Judiciary,” Rio de Janeiro, May 15-16, 1998.

Participant, FTC Roundtable on Joint Venture Guidelines -- Washington, -- December 12, 1997 -- March 27, 1998

Panelist, “Competition Law in Development Countries,” IBA, New Delhi, Nov. 4, 1997.

Panelist, “Competition Law--Antitrust Enforcement and Convergence in Central & Eastern Europe,” IBA, Moscow, July 4, 1996

Panelist, “Developments in US Merger Analysis,” IBA-ABA Program: “Getting the Deal through a Competitive Review,” Washington, Nov. 9-10, 1995.

Participant, International Cartel Conf., Berlin, May 22-23 1995.

Commentator, “U.S. Antitrust Enforcement Policy,” Fordham Corp. Law Inst., New York, Oct. 22, 1993.

Panelist, “Choppy Seas: Franchising Regulations Facing A Time of Change,” ABA Franchising Forum, Hilton Head, Oct. 29, 1992.

Moderator, “The Robinson Patman Act,” Grocery Manufacturers of America Legal Conf., Washington, Sept. 10, 1992.

Participant, International Cartel Conf., Berlin, May 26, 1992.

Panelist, Advertising Regulation: The Role of the States, 1991 Promotional Marketing Assn. of America Law Conf., Chicago, Jan. 11, 1992.

Panelist, “Future of Competition Law in Europe,” FBA, Washington, Oct. 22, 1991.

Panelist, ABA Antitrust Section, “Recent Developments in EC Competition Law and Policy, Washington, June 17, 1991.

Panelist, “Antitrust and the Cable Industry Today,” National Cable Television Association, New Orleans, March 27, 1991.

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Panelist, “New Developments in Merger Enforcement,” N.Y. State Bar Association, N.Y., January 21, 1991, reprinted in N.Y. State Bar Assoc., Antitrust Law Section Symposium 63 (1991).

Discussant, “Current FTC Antitrust Enforcement,” Putnam, Hayes & Bartlett Second Annual Seminar on Law & Economics, Phoenix, Nov. 8, 1990.

Moderator, “Negotiating Joint Ventures & Technology Transfers in Europe after 1992,” ABA Section on Business Law, Chicago, Aug. 4, 1990.

Discussant, Competition Law & Practice in the E.C., ABA Antitrust Section, Brussels-Luxembourg, June 20 22, 1990.

Participant, International Cartel Conf., Berlin, June 18-19, 1990.

Participant, U.S.-U.S.S.R. Legal Forum, Moscow/Leningrad, Sept. 24-Oct. 3, 1989.

Panelist, “The Chicago School,” ABA Antitrust Section, Honolulu, August 7, 1989.

Discussant, “The National Association of Attorneys General Antitrust Centennial Symposium,” Lawrence, May 23-25, 1989.

Discussant, “New Perils of Bad-Faith Litigation Having Anticompetitive Purposes,” ABA Litigation Section, Washington, D.C., Oct. 20, 1988.

Participant, International Cartel Conf., Berlin, June 27-29, 1988.

Delegate and Member of Advisory Committee, U.S./China Joint Session on Industry, Trade & Economic Development, Beijing, June 20-23, 1988.

Discussant, Applying ADR to Rulemaking, Administrative Conf. of the U.S., Washington, June 1, 1987, reprinted in “A Colloquium on Improving Dispute Resolution: Options for the Federal Government,” 1 Adm.L.Rev. 575.

Discussant, Hospital Staff Privileges, ABA Antitrust Section, Washington, April 1, 1987.

Participant, “The Antitrust Alternative,” Antitrust Policy Institute, Airlie House, March 27-28, 1987.

Discussant, A Study of Bankruptcy, Nat’l Conf. of Bankruptcy Judges, Nashville, Oct. 19, 1986.

Co-chairman, American Council of Young Political Leaders Delegation to the Peoples’ Republic of China & Taiwan, June 22-July 13, 1986.

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Participant, American Chamber of Commerce, Conf. on Antitrust, Leeds Castle, Kent, May 9-11, 1986.

Discussant, Economists’ Perspectives on Antitrust Today, Charles River Assoc., Boston, April 18, 1986.

Program Chairman, “Price Fixing,” Southern Economics Assoc., Dallas, Nov. 25, 1985.

Discussant, “What Do You Mean: Rule of Reason,” American Assoc. of Law Schools, Washington, Jan. 5, 1985.

Discussant, “1984 Boulder Legislation,” American Bar Assoc. Antitrust Section, Kohler, Wis. Aug. 10, 1984.

Program Chairman, “RPM: Theory and Policy in Turmoil, Western Economics Ass’n., Las Vegas, June 26, 1984.

Discussant,” Priorities Among Antitrust Concerns,” The Conference Board, New York, March 1, 1984, recorded in “The Future of Antitrust: Two Dialogues, Conf. Bd. Research Bull. No. 163 (1984).

Head, U.S. Delegation, Organization for Economic Cooperation and Development, Paris, Feb. 23-24, 1984.

Program Chairman, “Predatory Pricing,” ABA Antitrust Section Spring Meeting, Washington, March 31, 1982.

Participant, Seminar on Punitive Damages in Tort Law, Emory Law & Economics Center, Emory University, Atlanta, February 12-14, 1982, recorded in “Symposium: Punitive Damages,” 56 So. Cal. L. Rev. 1 (1982).

Program Chairman, “The Economics of Antitrust Remedies and Enforcement,” American Assoc. of Law Schools, San Antonio, January 4, 1981.

Testimony, “An Antitrust Policy for the GOP,” Republican Party 1980 Platform Committee Hearings, Davenport, April 18, 1980.

Participant, “Special Seminar on Antitrust Policy,” Law and Economics Center and Pacific Academy, Los Angeles, February 14-17, 1980.

Participant, “The Political Economy of Antitrust,” Law and Economics Center, Coral Gables, October 26-28, 1979, recorded in Political Economy of Antitrust (Tollison ed. 1980).

Participant, Program on Antitrust Policy, Law and Economics Center, Key Biscayne, December 1-3, 1978.

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Discussant, Program on Measures of Concentration, American Economics Association, Chicago August 29, 1978.

Discussant, Program on Measures of Concentration, American Bar Association, Antitrust Section, New York, August 1978.

Participant, Economics Institute for Law Professors, Law and Economics Center, Key Biscayne, June 11-20, 1978.

Program Chairman, The Southern Bench and Bar in the Nineteenth Century, at Conference on the Legal History of the South (Co-Chairman of Conference), Nashville, March 31-April 1, 1978.

Selected Congressional and Other Testimony--

Hearings on the FTC’s Role in a Changing World, March 26, 2019.

Hearings on Global Competition & Innovation, Federal Trade Commission, November 7, 1995.

Hearings on three separate bills amending the Clayton Act, (S. 994, S. 995, and S. 996), Subcommittee on Antitrust, Monopolies and Business Rights, Committee on the Judiciary, U.S. Senate, July 25, 1989.

Hearing to examine conduct of officials of FTC involving misuse of authorized and appropriated funds, Subcommittee on Oversight Investigations of the Committee on Energy and Commerce, U.S. House of Representatives, Oct. 6, 1988.

Hearings on Telemarketing Fraud, Consumer Subcommittee, Committee on Commerce, Science and Transportation, U.S. Senate, Sept. 13, 1988.

Hearing to receive testimony and/or documents from FTC Commissioner Terry Calvani in response to a subpoena authorized by the Subcommittee on February 4, 1988, Subcommittee on Oversight Investigations of the Committee on Energy and Commerce, U.S. House of Representatives, Feb. 24, 1988.

Hearing, FTC Role In Hostile Takeovers, Subcommittee on Transportation, Tourism & Hazardous Materials, U.S. House of Representatives, Committee on Energy and Commerce, February 17, 1988.

Hearings on S. 431 and S. 432, Subcommittee on Antitrust Monopoly & Business Rights, Judiciary Committee, U.S. Senate, Feb. 26, 1987.

Hearings on F.T.C. Reauthorization, Consumer Subcommittee, Committee on Commerce, Science & Transportation, U.S. Senate, Feb. 4, 1987.

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Hearings on F.T.C. Appropriations, Subcommittee on Commerce, State & Judiciary, Committee on Appropriations, U.S. Senate, March 26, 1986.

Hearings on F.T.C. Appropriations, Subcommittee on Commerce, Justice, State, the Judiciary & Related Agencies, Committee on Appropriations, U.S. House of Representatives, Feb. 19, 1986.

Hearings on H.R. 5452, Subcommittee on Commerce, Transportation, and Tourism and Subcommittee on Fossil and Synthetic Fuels, Committee on Energy & Commerce, U.S. House of Representatives, May 16, 1984.

Oversight Hearing of Subcommittee on Commerce, Transportation and Tourism, Committee of Energy & Commerce, U.S. House of Representatives, February 22, 1984.

Confirmation hearings, Consumer Subcommittee, Committee on Commerce, Science & Transportation, U.S. Senate, November 5, 1983.

Admitted to Practice:

New Mexico Supreme Court: 25 August 1972 California Supreme Court: 13 December 1972 Tennessee Supreme Court: 12 June 1978 District of Columbia Court of Appeals: 13 November 1992 United States Supreme Court: 4 March 1985 U.S. Court of Appeals (9 Cir.): 13 December 1972 U.S. Court of Appeals (6 Cir.): November 1977 U.S. Court of Appeals (5 Cir.): 1 April 1981 U.S. Court of Appeals (11 Cir.): 21 December 1981 U.S. Court of Appeals (D.C. Cir.): 14 February 1995 U.S. Court of Appeals (10 Cir.): 16 April 1996 U.S. District Court (D.N.M.): 25 August 1972 U.S. District Court (N.D. Calif.): 13 December 1972 U.S. District Court (M.D. Tenn.): 17 November 1978 U.S. District Court (D.D.C.): 2 May 1994

Social:

The Club (Birmingham, AL) The Cornell Club (New York, NY) The Golf Club of Tennessee (Nashville, TN) Lagunitas Country Club (Ross, CA) The Olympic Club (San Francisco, CA) The Pacific Union Club (San Francisco, CA) Richland Country Club (Nashville, TN)

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The Stephen’s Green Hibernian Club (Dublin, Ireland)