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Securities CLE Course Catalog

Explore our entire library of CLE courses. Search the whole catalog or filter courses by state, practice area, provider, credit type, and format

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All CLE Courses For Securities

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60 minutes
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How to Build Strong Relationships to Drive Successful Digital Transformation - NOT CLE
In today's rapidly evolving legal landscape, the successful implementation of digital transformation projects is contingent upon establishing robust relationships within and beyond your organization. This session will delve into the significance of fostering collaborative and communicative bonds to drive digital transformation initiatives forward. Whether you work on an in-house legal team or at a firm, you will gain valuable insights into relationships' pivotal role in leveraging technology to enhance legal services, streamline processes, and remain competitive in the digital era.

LWNY 2024

Available with Legal Industry Bundles Only. Learn More

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60 minutes
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Deploying Tech Solutions to Grow Your Practice - NOT CLE
Law firm success hinges on the ability to drive consistent revenue and new revenue opportunities. the most successful firms are justifying tech investment, evaluating new business intelligence, marketing, and RFP tools to make revenue generation as efficient and effective as possible.

LWNY 2024

Available with Legal Industry Bundles Only. Learn More

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60 minutes
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Answers, Not Research: Evolving the Paradigm of Intelligent Human-Machine Collaboration - NOT CLE
Domestically and internationally, the corpus of legal information required by lawyers is always growing. While navigation, search, and e-discovery have advanced massively, allowing for masses of data to be searched in minutes, are these steps now becoming obsolete — with contextually aware artificial intelligence systems parsing legal information? This talk explores the use of intelligent technologies to transform the tasks from research to answers.

LWNY 2024

Available with Legal Industry Bundles Only. Learn More

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57 minutes
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AI Empowering Your Law Practice: From Selecting a Tool to Partnering with a Vendor - NOT CLE
This session also covers how to assess the potential risks and benefits, prioritize the best use cases to optimize value for your firm and how to develop an AI-driven innovation plan that aligns with your firm's strategic plan and data strategy. We will also hear from 2 vendors on best practices for partnering with them and others.

LWNY 2024

Available with Legal Industry Bundles Only. Learn More

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58 minutes
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Accounting Fraud & SEC Investigations: Recent Enforcement Initiatives and Compliance Issues
As the SEC’s enforcement activities continue to ramp up and the regulatory landscape remains uncertain, businesses must stay updated and be well-versed on any grounds that would result in potential liability risks. Join experienced regulatory and compliance practitioners as they provide a comprehensive discussion on the recent SEC enforcement actions and considerations for fostering an ethical culture and reducing compliance risks. Speakers, among other things, will also offer best practices and effective compliance strategies amidst the ever-changing legal landscape.

The Knowledge Group

$75

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57 minutes
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Stay on Top of ESOP Litigation: Crucial Issues to Watch For
Listen as experienced practitioners in ESOP-related transactions Mr. Eli Burriss (Katten Muchin Rosenman LLP) and Mr. Scott Adamson (ArentFox Schiff LLP) provide the audience with the recent trends and developments in employee stock ownership plan (ESOP) as well as its implications in litigation matters. Speakers, among other things, will offer practical tips and strategies to avoid non-compliance and potential lawsuits.

The Knowledge Group

$75

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87 minutes
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The SEC’s Enforcement Actions and Investigations: Managing Compliance Risks
Changes in the Enforcement Division of the U.S. Securities and Exchange Commission (SEC) has become the point of discussion following the appointment of Gary Gensler as chairman. Heightened regulation and reversions are anticipated, particularly on the scope of fees and expenses, conflicts of interest disclosure, misuse of material non-public information, and other risk management policies. Listen as a panel of key thought leaders and practitioners provide a comprehensive discussion on the recent SEC enforcement actions and investigations. Speakers will also offer helpful tips to manage potential risks as well as best compliance practices.

The Knowledge Group

$115

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58 minutes
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Securities Class Action Litigation: What’s New and What Lies Ahead
The reduction of mergers and acquisitions (M&A)-related class actions and the state 1933 Act have driven a significant decline in securities class action filings over the last years. However, despite the decrease in the overall federal filings, special purpose acquisition companies (SPACs)-related cases have doubled, bringing newer litigation risks and additional ramifications in this category. Listen as experienced securities litigators Brendan J. Rudolph (Cornerstone Research) and Jonathan A. Choa (Potter Anderson & Corroon LLP) provide a comprehensive discussion of the recent enforcement trends and legislative developments surrounding securities class action litigation. Speakers will also offer practical tips and strategies in this rapidly evolving legal climate.

The Knowledge Group

$75

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58 minutes
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Broker-Dealer Enforcement Trends: Exploring Regulatory Challenges and Compliance Issues
The Securities and Exchange Commission (SEC) has proposed an amendment on the recordkeeping requirements for broker-dealers. The new rule asks for the retainment of electronic records in an exclusively non-rewritable and non-erasable format which is also known as write once, read many (WORM). However, the proposal would only apply prospectively, creating burdens for financial organizations in keeping WORM records that have been in existence at the time of the rule adoption.
Listen as experienced financial compliance professionals Robert Moreiro (Practus, LLP) and Debra Jenks (Jenks & Harvey LLP) provide a comprehensive discussion of the recent trends and developments surrounding broker-dealer regulation. Speakers, among other things, will offer practical compliance strategies in this ever-changing regulatory landscape.

The Knowledge Group

$75

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