Lecturer Bios
                  
                    David Chapman, Esq.
                    
David Chapman is Vice President in the Market Regulation Department of FINRA where he manages the 
Market Analysis and Audit Trail teams. These teams are responsible for conducting investigations regarding 
various reporting and market structure rules. 
Prior to this position, Mr. Chapman managed the Market 
Manipulation Investigations and Trading Systems teams, where he led investigations into various market based manipulative activities. Mr. Chapman has worked in the financial services industry for 29 years and 
has been with FINRA for the last 25 years. Mr. Chapman earned a B.B.A. in Accounting, M.S. in Finance, 
both from Loyola University Maryland, and a J.D. from the Columbus School of Law at Catholic University.
                   
                  
                    Shelly Bohlin
                    
Shelly Bohlin is President and Chief Operating Officer of FINRA CAT LLC, a subsidiary of FINRA that is the 
Plan Processor for the Consolidated Audit Trail (CAT). She also co-chairs the CAT Industry Member 
Technical Specifications Working Group. In addition, Ms. Bohlin served on the CAT Plan Participant 
Leadership Team until FINRA was selected as the CAT Plan Processor. 
Previously, Ms. Bohlin was Vice 
President in the Quality of Markets Section of FINRA’s Market Regulation Department. She oversaw the 
Market Analysis and Audit Trail Group, which is responsible for monitoring member-firm compliance with 
FINRA rules and federal securities laws related to market making, order handling, trade reporting and 
FINRA’s Order Audit Trail System (OATS). She is a Certified Public Accountant and has a B.S.B.A. in Finance 
and Accounting from the University of Arkansas
                   
                  
                    Doug Pratt
                    
Doug Pratt is Senior Director in the Quality of Markets group within FINRA’s Market 
Regulation Department. Mr. Pratt oversees the CAT Compliance Team which 
conducts surveillance to ensure Industry Member compliance with the various 
reporting requirements of the Consolidated Audit Trail. Mr. Pratt served in a similar 
role within Market Regulation as the Senior Director of the Order Audit Trail System 
(OATS) Compliance Team until OATS was retired last year. 
Before joining FINRA 
in 2007, Mr. Pratt worked in the surveillance department of a small broker dealer, 
drafting internal compliance procedures and conducting onsite examinations of 
branch offices to ensure adherence to FINRA rules. Prior to that, Mr. Pratt spent 
nearly seven years as an over-the-counter position trader for Raymond James Financial at their home office 
in Florida. 
Mr. Pratt earned his Bachelor of Science Degree in Finance from the University of Florida
                   
                  
                    Peter G. Stoehr
                    
Peter G. Stoehr is Vice President of the Trading and Execution Firm Group (“T&E”) 
within FINRA’s Market Regulation Department. T&E conducts equities, options, 
fixed income, and financial operations cycle examinations as well as for-cause 
examinations for compliance with FINRA, SEC and Exchange related trading rules 
and regulations. 
Mr. Stoehr is responsible for the management of the T&E Options, 
Equities, Trading Specialist Group, and For-Cause Examination Program. He has 
been with FINRA since 1997 and prior to that was employed at Pershing LLC.