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Build a Customized Connecticut CLE Compliance Bundle

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



The Connecticut Bundle contains twelve (12) credit hours and allows you to select the courses you take from our Connecticut course catalog including the two (2) hours required in Ethics/Professionalism. 

As of January 1, 2017, Connecticut attorneys will be required to complete twelve (12) CLE credits including two (2) in Ethics every year. 

You have one year from the date of purchase to complete your programs.

Please click here for answers to frequently asked questions and instructions on how to access your CLE.

$219.00
Add to Cart




Buy the bundle and earn credits for following courses!

Courses

801 Courses
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-1
60 minutes
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AI Adoption: How to Empower Your Teams to Leverage AI Tools
Join our expert panelists for a comprehensive discussion on embracing a culture of AI adoption, effectively integrating AI tools to drive innovation within your legal team, and staying ahead of the curve with fast-evolving legal technology.

General Counsel Conference

1 - General

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45 minutes
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Ransomware Remediation (and How to Keep Ransomware Attackers from Reading Emails and Joining Zoom Calls)
Expert cybersecurity law panel discusses ransomware remediation emphasizing fast recovery, prevention, and resilience. Panel introduces a playbook on restoration, recovery, and resiliency within the NIST framework, stressing detailed business plans and legal considerations.

Securities Docket

0.75 - General

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45 minutes
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Whistleblower Update - The Impact on Corporations and SEC Enforcement
A panel of experts discuss whistleblower actions, whistleblower investigations, and best practices in the event of a whistleblower report. The panel breaks down how companies must prioritize whistleblower protection and compliance with federal securities law to avoid SEC enforcement actions.

Securities Docket

0.75 - General

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43 minutes
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The Impact of AI on Securities Enforcement, Regulation, Compliance and Practice
AI is greatly impacting securities enforcement, regulation, compliance, and practice, requiring companies and regulators to address associated risks and challenges. This panel discusses the increasing risks and regulations around AI in finance. Experts discuss best practices.

Securities Docket

0.5 - General

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45 minutes
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Managing SEC-Related Criminal Investigations and Prosecutions
This panel discusses the best ways to manage SEC-related criminal investigations and parallel investigations including the DOJ. Challenges include distinguishing between civil and criminal cases, advising clients on criminal involvement, and deciding whether to testify amid investigations.

Securities Docket

0.75 - General

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45 minutes
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Masterclass - Managing a True Corporate Crisis or Major Internal Investigation
Organizations facing corporate crises and must prioritize strong compliance and crisis management plans. This expert panel discuss how to address risks that arise in the event of a crisis, including assessing the severity, establishing clear reporting lines, and controlling communication.

Securities Docket

0.75 - General

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46 minutes
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Insider Trading 360 - Enforcement Trends, Sweeps, Key Cases and Prosecutions
This expert panel discusses recent trends in SEC and DOJ insider trading cases. Experts discuss the new 10b5-1 plan amendments. The importance of information security and training to prevent insider trading is highlighted, along with challenges in securing evidence for prosecution.

Securities Docket

0.75 - General

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45 minutes
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Financial Firms in the SEC's Crosshairs - Key Developments
Financial firms such as asset managers, broker-dealers, private funds, and others face scrutiny and fines from the SEC for compliance failures. Expert panelists discuss how financial firms are facing increased scrutiny and large fines from the SEC for compliance failures, particularly concerning communication records and marketing rules.

Securities Docket

0.75 - General