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West Virginia (WV) Securities CLE Course Catalog

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All CLE Courses For West Virginia (WV) Securities

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45 minutes
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Digital Assets and Cryptocurrency - Regulation and Enforcement of Exchanges, Lending, NFTS and More
Panelists discuss the need for regulatory agencies to come together to create clear rules for the industry, recent cases including the Ripple case, and key trends in the court system relating to crypto currency.

Securities Docket

$75

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45 minutes
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Ransomware Attacks - The SEC, NYDFS and Other Regulatory Trends
Ransomware attacks drive heightened SEC and NYDFS scrutiny, necessitating swift data breach reporting and legal adherence. Sector-specific trends are highlighted by experts, emphasizing the urgency of compliance and transparent communication for stakeholders navigating evolving threats.

Securities Docket

$75

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56 minutes
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Securities Law in Focus: A Look Ahead at the Shaping Litigation Trends in 2024
Join experienced securities litigation practitioners Michael Lindh (Cornerstone Research) and Angela M. Liu (Dechert LLP), who will dissect and deliberate the paramount challenges and opportunities within securities law. By scrutinizing recent litigation cases, regulatory modifications, and ever-shifting market dynamics, attendees will be equipped with invaluable insights to not just keep pace but thrive within the ever-evolving landscape of securities litigation.

The Knowledge Group

$75

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57 minutes
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Latest Updates on FINRA Arbitration Rules: Effective Litigation Strategies Explored
Listen as experienced securities lawyers Debra A. Jenks, Esq. (Debra A. Jenks, P.A.) and Meredith Jowers Lees (Rumberger, Kirk & Caldwell, P.A) as they provide a comprehensive discussion of the latest trends and developments in FINRA arbitration. Speakers, among other things, will also offer critical steps and strategies in this rapidly evolving legal climate.

The Knowledge Group

$75

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57 minutes
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FINRA Arbitration: Current Issues and Practice Tips for 2023
In this program, securities lawyer Heather B. Middleton (Riker Danzig LLP) and commercial litigator Peter J. Tepley (Rumberger Kirk) will discuss the significant updates and key issues surrounding FINRA arbitration. The distinguished speakers will also share practical tips to prepare you for a FINRA arbitration case.

The Knowledge Group

$75

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56 minutes
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New Developments in the SEC’s Executive Compensation Rules
Listen as experienced economic consultants Simona Mola and Kyla Wethli from Cornerstone Research provide a comprehensive discussion of the latest regulations and enforcement trends concerning executive compensation.

The Knowledge Group

$75

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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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