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Build a Customized Alaska CLE Compliance Bundle

Individually select approved CLE courses from our centralized online library no matter where you practice.



The Alaska Bundle contains twelve (12) credit hours and allows you to select the courses you take from our Alaska course catalog.

Alaska State Bar does not have mandatory CLE. Alaska attorney can take up to twelve (12) voluntary CLE credit hours. 

After purchase, you can add programs to your bundle to begin receiving credit. 


$199.00
Add to Cart




Buy the bundle and earn credits for following courses!

Courses

787 Courses
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58 minutes
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Resolving Consumer Class and Mass Action Claims: Significant Issues and Considerations Explored
Class actions remain at the forefront of in-house counsel’s concerns and top legal spend. In this program, highly recognized practitioners in class action litigation Joseph A. Apatov (McGlinchey Stafford PLLC) and Bethany G. Lukitsch (BakerHostetler) will discuss the significant and latest issues surrounding consumer class actions. Speakers will also provide the audience with practical strategies to mitigate class action risks.

The Knowledge Group

1 - Voluntary

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88 minutes
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FCPA Under Biden’s Administration: The Ever-Changing Landscape of Anti-Corruption Enforcement
Join a panel of key thought leaders and distinguished professionals organized by The Knowledge Group as they provide a comprehensive discussion of the latest trends and developments surrounding FCPA under the Biden administration. Speakers, among other things, will offer practical compliance strategies in this ever-changing regulatory landscape.

The Knowledge Group

1.5 - Voluntary

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56 minutes
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Your Guide to Effective Business Valuation: Addressing Issues and Mitigating Risks
In this program, Todd Patrick, a national leader of the Tax Value Solutions team (Grant Thornton LLP), and Christopher DeBaere, a business valuation expert (Hoffman Alvary & Company LLC) will discuss significant issues and latest insights in business valuation in a variety of contexts, including best practices to mitigate risks.

The Knowledge Group

1 - Voluntary

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87 minutes
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Understanding the New CCPA/CPRA Amendments: Recent Regulatory Trends and Best Practices
While the amendments brought by the CPRA aim to strengthen consumer privacy rights, these also make compliance more challenging as additional requirements and tighter rules related to the collection and sale of personal information take effect. Having impact on both California and international consumer data processing, businesses need to take extra steps to maintain compliance and effective data privacy operations. In this program, data protection and privacy professionals will provide an in-depth discussion of the California Privacy Rights Act (CPRA). The speakers will dissect every emerging development and its implication on businesses and the general compliance practices.

The Knowledge Group

1.5 - Voluntary

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86 minutes
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Trends and Developments in the TCPA: Compliance and Important Updates
The TCPA landscape has changed since the Supreme Court’s ruling in Facebook v. Duguid, but the risks of non-compliance with TCPA rules and regulations still pervade all industries. Even in light of the narrowed definition of an auto-dialer, Courts are allowing auto-dialer claims to survive Motions to Dismiss, allowing for discovery before determining whether calls were made using an auto-dialer. We have seen an increase in Do-Not-Call and pre-recorded voicemail claims since Duguid, as well. And, of course, Junk Fax Cases and Wrong Number cases still pose significant risk. States are also crafting their own state telephone protection acts which presents additional compliance issues for those who market nationwide, and particularly in Florida. Join a panel of key thought leaders as they provide a comprehensive analysis of the current trends and recent court rulings involving the TCPA. Speakers will also offer practical compliance strategies in this rapidly evolving TCPA landscape.

The Knowledge Group

1.5 - Voluntary

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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

1.5 - Voluntary

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86 minutes
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The Evolving Standards for Antitrust Class Certification: Exploring Unresolved Issues
The past year has brought significant developments in the antitrust class action context, leaving questions and issues over the certification process standards. Aside from the litigation challenges caused by the shifting rules, US courts are also reinforcing their probe of proposed classes making it increasingly difficult to obtain early class decisions. Our panel of key thought leaders and practitioners will offer a discussion of the evolving standards in antitrust class certification as well as the significant issues surrounding this area of law. This program aims to help you navigate the challenges in litigating antitrust class certification issues.

The Knowledge Group

1.4 - Voluntary

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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

1 - Voluntary