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Build a Customized New York CLE Compliance Bundle

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



The New York Build Your Bundle includes twenty-four (24) CLE credit hours and allows you to select the courses you wish to take to fulfill your required CLE including four (4) required hours in Ethics, one (1) hour in Diversity, Inclusion & Elimination of Bias and one (1) hour in Cybersecurity, Privacy & Data Protection-General or Ethics.

The New York CLE Board allows attorneys to take all twenty-four (24) required CLE hours online, including the four (4) required hours in Ethics, one (1) hour in Diversity, Inclusion & Elimination of Bias and one (1) hour in Cybersecurity, Privacy & Data Protection-General or Ethics.

After purchase, you can add programs to your bundle to begin receiving credit. You have one year from the date of purchase to complete your programs. 

We are an accredited provider of CLE by the New York CLE Board.


$269.00
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Buy the bundle and earn credits for following courses!

Courses

638 Courses
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-1
62 minutes
Anticipating the Changing Terrain: Exploring M&A Trends
Join a panel of industry experts as they discuss the impact of global events and economic conditions on M&A activity, emerging regulatory trends, and the role of technology in shaping deal-making strategies.

General Counsel Conference

1 - Area of Professional Practice

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62 minutes
Creating a Culture of Privacy: Structuring a Privacy Program that Delivers
As corporations navigate the complexities of data privacy laws and regulations, it's imperative to not only establish robust privacy programs but also ensure they yield tangible results. This session is designed to equip participants with the strategies and insights needed to structure privacy programs that not only comply with legal mandates but also deliver measurable outcomes. Join us as we delve into the essential components of a successful privacy program, examining frameworks for implementation, risk assessment methodologies, and best practices for monitoring and enforcement.

General Counsel Conference

1 - Cybersecurity, Privacy and Data Protection-General

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45 minutes
cc
SEC Enforcement and Regulation of Financial Firms - Asset Managers, Broker-Dealers, and Private Funds
The panel emphasizes the need for financial firms, particularly asset managers and broker-dealers, to strengthen their compliance and self-reporting practices in light of increased scrutiny from the SEC and complex regulatory challenges. With the SEC intensifying its enforcement efforts, firms must prioritize accurate trade reporting and maintain robust client information systems to navigate regulatory obligations effectively.

Securities Docket

0.5 - Area of Professional Practice

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45 minutes
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AI's Growing Impact on Securities Enforcement, Regulation, Compliance and Practice
The panel discusses the impact of AI on securities enforcement and regulation, particularly the SEC's intensified focus on misleading claims associated with AI technologies. Recent actions taken against firms that misrepresented AI in their investment services illustrate regulators' commitment to addressing these issues amid a backdrop of rising pressure for companies to integrate AI.

Securities Docket

0.5 - Area of Professional Practice

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45 minutes
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Financial and Accounting Fraud: A Case Study
The panel examines the critical steps necessary for addressing accounting fraud via the fictional case of “LexCorp,” which is under investigation by the SEC and DOJ following a whistleblower's revelation of inflated tire prices and fabricated documents. This scenario underscores the importance of swift action and effective communication in managing such crises.

Securities Docket

0.5 - Area of Professional Practice

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43 minutes
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The SEC's Active Rulemaking Agenda and its Impact - Cybersecurity, Climate, Private Funds, and More
The panel discusses the SEC's heightened focus on rulemaking concerning cybersecurity and ESG (Environmental, Social, and Governance) disclosures under Chairman Gensler. This intensified regulatory environment presents both opportunities and challenges for public companies as they navigate evolving global regulatory trends.

Securities Docket

0.5 - Area of Professional Practice

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46 minutes
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Key Developments in Insider Trading Enforcement - Trends, Sweeps, Key Cases and Prosecutions
The panel of securities lawyers underscores the heightened priority of insider trading enforcement for both the DOJ and SEC, aiming to deter misconduct across all levels of the market. The DOJ and SEC approach is evolving through the adoption of advanced data analytics, remote work adaptations, and enhanced monitoring of electronic communications, resulting in increased scrutiny and aggressive prosecution of insider trading cases.

Securities Docket

0.5 - Area of Professional Practice

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-1
56 minutes
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Global M&A Antitrust Outlook: Trends Shaping Enforcement Strategies
In this CLE program, James K. Hunsberger of Axinn, Veltrop & Harkrider LLP and Liang Ding of DeHeng Law Offices will provide an in-depth analysis of the latest developments and trends in M&A antitrust enforcement across various jurisdictions. Speakers will discuss key policy changes, significant enforcement actions, and regulatory updates under the current U.S. administration and forecast potential shifts under the next U.S. administration. They will also delve into global M&A antitrust dynamics, including new regulations in China, the evolving role of subsidies, and the impact of cross-border cooperation among antitrust authorities.

The Knowledge Group

1 - Area of Professional Practice

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