Alaska CLE - Securities Law Courses

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  • Governance and Ethics Update: The Increased Focus on Director Responsibilities

    Join our expert panel as it shares case studies regarding the increased focus on, and the evolving nature of, director responsibilities. The panelists will also discuss how modified governance and ethics practices may significantly alter director exposure. Topics include: Current Governance and Ethics Examples Thought Leadership: Evolving Governance and Ethics Practices Case Studies: Governance and Ethics Issues More Info

    $100
    2.25Total Credits
    1.25 Ethics
  • Setting Up Your Securities Clients For Success

    Often times, legal counsel preparing Exempt Offering Documents for their clients evaluates them primarily on legal grounds, rather than on grounds associated with how the Offerings could be best articulated from an underwriting standpoint. This course, and these educational materials, are designed to offer helpful strategies on approaching securities documentation from the standpoint of underwriting standards designed to allow effectiveness and consistency in the Offering documentation... More Info

    $100
    2General Credits
  • GRAT and Valuation Planning After CCA 202152018: What Practitioners Need to Know

    CCA 202152018, released on December 30, 2021 has critical impact on grantor retained annuity trusts (GRATs). The CCA addresses a common valuation challenge: what consideration should be given to a potential sale in valuing an asset? Often there is a long continuum from: no sale, to discussions with potential buyers, to a letter of intent, to a binding contract, etc. Where the business is on this continuum will affect how an appraiser evaluates the possible implications of the potenti... More Info

    $50
    1.25General Credits
  • The Regulation of Private and Foreign Funds in the Age of Cryptocurrency

    This CLE course is designed to provide an overview of the regulatory regime applicable to private and foreign (i.e., non-registered) investment funds and the issues raised by the explosive rise of cryptocurrencies in the past several years. The course begins with an overview of the Securities Act of 1933, the Securities Exchange Act of 1934, the Investment Company Act, the Investment Advisers Act, the Dodd-Frank Act and the SEC and CFTC rules and regulations applying this legislative fr... More Info

    $75
    1.5General Credits
  • Defining Antitrust Markets in Platform Industries

    The effects of the Supreme Court’s landmark antitrust decision in Ohio v. American Express continue to reverberate. Platforms have occupied the antitrust spotlight for several years now, but litigation unpacking and applying Amex to platforms is still in its early stages. This CLE course is designed to update generalists, antitrust practitioners, and inside counsel alike on how lower courts are interpreting and applying Amex when defining antitrust markets involving platforms. The prog... More Info

    $50
    1General Credit
  • Understanding Asset Protection

    Learn what tools are available to more effectively shield yourself from the effects of any lawsuit by protecting your personal wealth. The panel will discuss the following Topics: History of asset protection in the United States and abroad Understanding which assets are/are not exempt under state and federal law Identifying and understanding different types of risk How to protect real estate and other physical assets How to protect securities and other liquid assets The differe... More Info

    $75
    1.5General Credits
  • Overview of FinTech Regulation and Compliance

    A very high-level overview of some of the issues and challenges facing attorneys representing companies that are utilizing new technology to improve and automate the delivery of financial services (FinTech). Overview of the core principles and regulatory regimes in the United States governing key aspects of financial services including banking, securities, funds, money transmission, commodities, and anti-money laundering, and how these affect the operations of FinTech companies.... More Info

    $50
    1General Credit
  • Turnkey Real Estate Investments as Securities

    Turnkey real estate investments have become extremely popular across the country for promoters and investors alike. The question is whether a turnkey real estate investment is nothing more than a vanilla real estate deal, or a security in disguise. The objective of this course is to clarify that description for real estate, securities and general practitioners. More Info

    $50
    1.25General Credits
  • Who's Zoomin' Who? Virtual FINRA Hearings, Mediations and Developments in a Real Life World

    Join us when we share tried and true insights and guidance on managing FINRA virtual hearings: Topics we will cover: FINRA Dispute Resolution Services Developments and Updates Tips and Techniques to Best Present on a Virtual Platform (first step: unmute yourself) FINRA Zoom Arbitration and Expungement Hearings –Panel Conference, Pre-hearing, Hearing itself Handling Exhibits Expert Witness Testimony –Witnesses Preparation, Virtual Direct and Cross Examinations Virtual Mediations... More Info

    $75
    1.5General Credits
  • Cryptocurrency Primer: What They Are, How They Work, Their History, and Their Future

    This CLE program will help you better understand cryptocurrency and the history behind such currency. Marshal Shichtman will discuss in layman’s terms, how virtual currency works, what it is, the legal and regulatory issues involved in digital tokens, how they are made, how they trade, governmental classifications, and the future of cryptocurrencies. More Info

    $50
    1.25General Credits

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