Montana CLE - Securities Law Courses
This is a listing of Securities Law CLE Courses for Montana. Please make your selection below of Montana CLE courses. Click "Add To Cart" to purchase Individual CLE Courses. For more information about a particular CLE course, click on the "More Info" link. Click the "Preview" button to view a short preview of the course.
CLE Courses Available on DVDs, Audio CDs, USB Stick, Online & iOS/Android App and Live Webinars!
 
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    On-DemandCD/DVD/USB, Online, iOS/Android AppRepresenting the Startup Enterprise Through the “Four Stages” of Capital FormationRaising capital is a defining challenge for emerging businesses, and each stage of the process brings unique legal and regulatory considerations. This CLE program guides attorneys through the progression of startup financing, from early founder contributions to public offerings, with a focus on how counsel can add value and mitigate risk at every step. This Program Explores: Stage 1: Founder financing and initial capitalization Stage 2: Friends-and-family rounds and crowdfunding str... More Info $1002General Credits
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    On-DemandCD/DVD/USB, Online, iOS/Android AppArtificial Intelligence: Opportunities and Use by Member FirmsThis CLE course offers a focused overview of how artificial intelligence — especially Generative AI and Large Language Models — is being adopted across the financial services industry, with clear implications for legal professionals. Based on recent data from FINRA and industry leaders, it explores real-world AI use cases (e.g., summarization, drafting, classification) and the legal, regulatory, and ethical considerations tied to these technologies. Lawyers will gain practical insights... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppCapital Formation DevelopmentsCapital formation remains a vital engine for economic growth—but in today’s rapidly evolving financial environment, legal professionals must navigate a shifting landscape of regulation, innovation, and market dynamics. This CLE course offers attorneys a comprehensive overview of the latest developments impacting capital raising activities and firm responsibilities. Attorneys will examine new and emerging opportunities to support the capital-raising process, including how firms are adapt... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppComplex Products: New Developments and Compliance Considerations for Retail FirmsAs complex investment products become increasingly prevalent in the retail market, attorneys and compliance professionals face heightened challenges in navigating legal risk, regulatory scrutiny, and investor protection obligations. This 60-minute CLE session—designed for legal and compliance professionals in broker-dealers, investment firms, and regulatory roles—offers a comprehensive look at the evolving supervisory landscape, with a focused examination of Registered Index-Linked Ann... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppCompliance & Legal TrendsIn a financial and regulatory environment marked by rapid transformation, legal professionals play a critical role in guiding firms through evolving compliance expectations. This CLE course offers attorneys a forward-looking discussion on the emerging trends and strategic priorities shaping the securities industry—and what these developments mean for legal and compliance teams. Join industry leaders as they explore how firms are adapting to significant business, regulatory, and technolo... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppEffective Practices in Remote Supervision and InspectionsThis CLE course explores the legal and regulatory challenges emerging from the shift toward hybrid and remote work in the financial services industry. With updates to FINRA’s supervision rules enabling Remote Supervisory Locations (RSLs) and the Remote Inspection Pilot Program (RIPP), attorneys advising broker-dealers and compliance teams must understand the evolving expectations and associated legal risks. Participants will hear directly from FINRA staff and member firms about how the... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppFinancial Crimes: Getting Ahead of the AdversariesAs financial crimes evolve, staying ahead of emerging threats is essential. This CLE course explores recent fraud and money laundering trends impacting firms and markets, with a focus on actionable prevention and detection strategies. Key topics include: Highlights from the Annual Report’s Financial Crimes Prevention section, including investment fraud targeting retail investors, ACH fraud, AI-enabled schemes, and manipulative trading in small-cap IPOs New and emerging fraud tactics... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppFinancial Management Regulatory DevelopmentsThis CLE course provides legal professionals with a timely and in-depth review of the evolving regulatory landscape governing financial responsibility in the securities industry. Anchored in the key findings of the 2025 Regulatory Oversight Report, the session is designed to help attorneys understand both the practical and legal implications of recent and emerging developments affecting broker-dealers and financial institutions. Participants will examine core topics such as liquidity ri... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppHow to Use Data to Drive Effective OversightAs data analytics become central to regulatory compliance, legal professionals must understand how firms use data to guide surveillance and oversight. This CLE session offers attorneys a practical look at how firms—large and small—are adopting risk-based, outcome-driven approaches to compliance through data. The course will discuss firm strategies, share FINRA’s latest intelligence resources (including contributions from StratIntel and the FIU), and explore how enhanced surveillance too... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppKeeping Current With Fixed Income SecuritiesThis CLE session offers attorneys a timely and in-depth overview of current legal and regulatory developments in the fixed income securities markets. Featuring staff from FINRA and the MSRB, the program will explore recent enforcement actions, evolving rule interpretations, and practical compliance guidance relevant to firms operating in this space. Attendees will gain insight into how current regulatory priorities are shaping supervision, reporting obligations, and firm conduct. Topics... More Info $350.75General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppLegal Risk and Regulatory Strategy: A Conversation with FINRA Senior LeadersThis CLE course, tailored for legal and compliance professionals in the financial industry, addresses key FINRA regulatory topics based on audience questions. It provides actionable insights to navigate the evolving regulatory landscape. What You Will Learn FINRA Forward Initiatives: Understand Rule Modernization, Empowering Compliance, and Cybersecurity/Fraud initiatives, and their impact on your firm. Capital Formation: Explore regulatory considerations for raising capital while ens... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppMitigating Impacts of Fraud and Scams Targeting CustomersAs fraud schemes become more complex, legal professionals play a vital role in protecting investors and guiding firms through each stage of a fraud event. This CLE session offers a practical look at the full lifecycle of a fraud scheme—from investor targeting to post-incident recovery—and outlines legal strategies for effective response and prevention. This CLE course will cover how to identify common fraud tactics, engage with victims and outside parties, manage legal risks during a fr... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppCommunication Supervision Trends and Effective PracticesThis CLE course offers a comprehensive exploration of critical issues in communications supervision, with a focus on emerging trends in off-channel communications and social media. Join industry experts and regulatory professionals as they provide practical insights into the latest supervisory challenges, share key examination findings, and discuss strategies for enhancing compliance programs. Key Topics Include: Off-Channel Communications: Examination findings and best practices for... More Info $350.75General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppFiling Requirements and Due Diligence Obligations for Public Offerings and Private PlacementsJoin FINRA staff and industry experts for an in-depth discussion on the regulatory landscape of registered and unregistered offerings. This CLE course covers essential filing requirements, due diligence practices, and conflict-of-interest management strategies for legal professionals. Key Topics: Filing requirements for both registered and unregistered offerings Due diligence on issuers and investors for unregistered offerings Key considerations for registered offerings, including... More Info $350.75General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppThe State Of The Art of Investment Advisor RegulationsThis CLE course explores the latest developments in Investment Adviser Regulation, focusing on practical steps for investment advisers in light of the Fifth Circuit's decision to vacate the SEC's recent Private Investment Adviser regulations. We'll examine why the SEC chose not to appeal the ruling and discuss the implications. The course will also cover emerging trends and best practices in artificial intelligence, the Marketing Rule, and other recent regulatory changes. Addit... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppCompliance and Legal Trends in The Financial IndustryJoin industry leaders for an in-depth discussion on the latest legal trends, critical focus areas, and innovative strategies shaping legal and compliance functions within financial firms. This CLE session will provide valuable insights into how these changes are impacting the sector and share their approaches to navigating evolving business, regulatory, and technological landscapes. Key topics will include: Regulatory Burden: Understand the complexities and increasing demands of re... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppAsk FINRA Senior LeadersDuring this CLE session, FINRA senior staff provide updates on key regulatory issues and initiatives. Panelists address questions relating to FINRA’s risk-based examination program, disciplinary actions, market regulation programs and new and anticipated rules, among other topics. This session will discuss: Modernization of FINRA Rules in a post-COVID world (RSL, Remote Inspection Pilot), the current regulatory landscape and FINRA Rulemaking, Risk Monitoring Questionnaires, Exam Moder... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppCrowdfunding Capital Raises: Considerations for Broker-Dealers & Funding PortalsThis CLE session explores aspects of Regulation CF and considerations for broker-dealers and funding portals within the crowdfunding realm. Join panelists at this session to gain knowledge on emerging regulatory risks and practices broker-dealers and funding portals can implement to stay in compliance. This session will discuss: Considerations for broker-dealers engaging in Regulation Crowdfunding offerings. Considerations for funding portals engaging in Regulation Crowdfunding offe... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppCrypto Assets: Trends, Regulatory Developments and ResourcesJoin this session to learn about the latest cryptocurrency regulatory developments including the crypto-assets retail communications sweep and rule proposal, current trends in crypto misconduct, and resources and guidance firms can leverage. This session will discuss: • Regulatory Developments:  Crypto-assets retail communications sweep published in December 2023  Disclosure concerns with OBAs/private securities transactions and net capital issues  Themes from crypto survey (reg... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppFinancial Crimes: Outpacing the ThreatsThis CLE will explore how threat actors are attempting to defraud investors through tactics including market manipulation, new account fraud, cryptocurrency and generative AI. Panelists address the most prominent threats and share effective practices and resources to help firms proactively combat criminals. This session will discuss: • Threats:  Microcap IPO manipulation and single stock ETFs for AML  Fraud and Sanctions or Manipulative Trading topics  New account fraud (includi... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppFINRA's Disciplinary Hearing ProcessHear from FINRA Enforcement counsel, defense counsel, and a hearing panelist as they broaden awareness about FINRA's disciplinary hearing process and highlight distinctions between self-driven hearings and administrative law judge hearings. This CLE course will discuss: The differences between FINRA hearings versus hearings by administrative law judges; The conflicts clearance process for panelists and hearing officers; The full lifecycle of a case from the pre-complaint phase throu... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppThe Latest in Private Placement Sales OversightLearn about regulatory developments, compliance obligations and effective compliance practices related to the sales of private placements, including relevant topics such as Regulation Best Interest, communications, due diligence and conflicts of interest. This session will discuss: Review regulatory developments, compliance obligations and effective compliance practices related to private placements, including discussion about Reg BI, Communications, Due Diligence and Conflicts of I... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppDevelopments in Remote SupervisionThis CLE course will explore the latest remote supervision developments including the remote inspection pilot program, amendments to supervision rules to cover Residential Supervisory Locations and risk-based supervision best practices. This session will discuss: Sunsetting of current COVID relief, and the implementation of Rules 3110.18 and 3110.19 How to functionally report residential locations and RSLs in Firm Gateway Remote supervision best practices and considerations FAQs fo... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppFixed Income Securities Regulatory OutlookThis CLE session addresses the latest regulatory focuses related to both fixed income and municipal securities, including Time of Trade disclosures, SEA Rule 15c2-11, and considerations firms should keep in mind with respect to exam priorities, findings, and enforcement actions. This session will discuss: Updates to SEA Rule 15c2-11 Time of Trade Disclosures, including Municipal Fund Securities and Market Discount Transaction Reporting Municipal short closeouts/ possession and co... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppModernizing Off-Channel Communications SupervisionJoin panelists as they discuss observations from thematic reviews of off-channel communications such as text and social media platforms and effective techniques firms are using to provide oversight of their firms’ communications. This session will discuss: Communications Landscape Rule Requirements--Books and Records, Communications with the Public, and Supervision SEC and FINRA Enforcement Actions Observations from Thematic Reviews of Off-Channel Communications OSE-Facilitated Comm... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppPromoting Market Integrity: FINRA’s Role in Market StructureHear regulatory and industry perspectives on FINRA’s role in promoting market integrity and on the new and evolving rules such as current market structure proposals, securities lending and how transparency initiatives are shaping the market. This CLE discusses: New and emerging rules SEC market structure proposals, securities lending, and other transparency initiatives More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppTechnology Governance: Mitigating Risk Throughout the Vendor LifecycleThis CLE course dives into factors firms should consider when outsourcing activities or functions to third-party providers. Hear from panelists as they discuss how to mitigate vendor risk with strong technology governance programs that encompass the lifecycle of vendor engagement, from onboarding, performing ongoing due diligence, responding to events, and offboarding. This session will discuss: Vendor Management and Due Diligence Regulatory Notice 21-29 (FINRA Reminds Firms of their... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppThe Progression of Regulation Best Interest and Form CRSDuring this CLE session, panelists discuss recent observations on firm adherence to Regulation Best Interest and Form CRS and share guidance on Reasonably Available Alternatives, the Care Obligation, and Conflicts of Interest. This session will discuss: Actions:  Recent SEC and FINRA findings in Reg BI and Form CRS Interpretation, guidance and best practices:  Recent SEC and FINRA findings in Reg BI and Form CRS  Reg Notice 23-20  Form CRS FAQs  Reasonably Available Alter... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppConflicts of Interest in the Financial Services Industry: What Every Attorney Needs to KnowDo you refer clients to financial advisers? Lawyers need to understand the regulatory framework that distinguishes financial advisers, particularly in light of new (2020) disclosure documents (Form CRS). In this program, we will cover how financial advisers are regulated; how standards of care differ; how to recognize potential conflicts of interest that can affect the adviser-client relationship; and most importantly, how new SEC disclosure tools make your due diligence process easie... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppCommon Issues with Navigating the Changing Landscape of Multistate Taxation of Crypto Currency & Crypto Based CompaniesState Taxation varies across every state in the United States. Specifically at a State and Local Tax (SALT) level, every jurisdiction has its own tax code and tax treatment for various applications. For example, the way California may classify revenue from a certain company is not the same as Texas will perceive the revenue. Of course, the Supreme Court of the United States has weighed in on limitations of a state’s power to tax, citing the Commerce Clause and various other constitutional cons... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppSafeguarding Your Business & Investment Clients with Proactive Asset Protection & Estate PlanningAn effective Asset Protection & Estate Planning Program for Business & Investment Clients should address family and legacy considerations, complete asset protection and tax optimization simultaneously. In addition, it should be easy to use, capable of expanding through time to embrace growth in your clients’ business and investment portfolios, and it should be capable of being examined in the sunlight without legal concerns. And finally, it should be fully integrated so that all of y... More Info $1002General Credits
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    On-DemandCD/DVD/USB, Online, iOS/Android AppOverhaul of Regulatory Capital Requirements Proposed By US Banking RegulatorsThe US federal banking regulators have jointly proposed extensive revisions to the regulatory capital requirements for [midsize and] larger US banking organizations. The revisions are lengthy and would change the requirements for credit, market, and operational risk. Some of the revisions are long-expected (e.g., re-evaluation of use of internal models), but others are novel (e.g., capital charge for operational risk) or driven in response to the recent banking crisis. Further, the rev... More Info $751.5General Credits
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    On-DemandCD/DVD/USB, Online, iOS/Android AppThe Case Against Tipper Xlmagine the following: lt is the morning of a normal workday for you and millions of others who live in New York City. You go to the gym for a workout and run some errands before heading to the office. Unexpectedly, two FBI agents approach you on the sidewalk, flash their badges - in public view - and begin questioning you about activity at your job. The agents begin spitting out details about your personal life - they know where you were last weekend, they know private details about your fam... More Info $751.5General Credits
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    On-DemandCD/DVD/USB, Online, iOS/Android AppNavigating the SEC and CFTC Whistleblowing ProgramsThis CLE course provides an overview of the CFTC, SEC, and IRS whistleblower programs, with a focus on the basics of eligibility, anonymity, and the whistleblowing process. The course will cover the analysis of potential whistleblower claims and the necessary steps for filing a whistleblower claim with each agency. Participants will learn about the ambiguities in the whistleblower awards process and gain insight into the factors that are considered when determining the amount of an awar... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppCompliance and Legal TrendsJoin industry leaders as they discuss trends, key focus areas and strategies that are shaping the industry. Panelists share insights on how these changes will affect compliance, and how firms are evolving and responding to business, regulatory and technology issues. More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppCapital Formation: Current Regulatory Landscape and ChallengesAttend this session to learn more about the regulatory landscape, potential challenges, and resources for firms as it relates to capital formation. This CLE program will discuss: Discuss current regulatory landscape Discuss challenges and obstacles from firm perspective Resources for firms More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppCurrent Issues Under Regulation Best Interest and Form CRSIn an ongoing dialogue, regulators and industry practitioners come together to delve into a wide array of current topics and delve deep into the valuable lessons learned through their experiences with Reg BI (Regulation Best Interest) and Form CRS (Customer Relationship Summary). This collaborative discussion explores the multifaceted aspects of these regulatory frameworks, encompassing not only effective practices implemented within firms but also the examination experiences encountered along... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppHot Topics in Municipal Securities and Other Fixed IncomeThis CLE program covers an assortment of key considerations surrounding fixed income securities including exam priorities, common findings and enforcement actions, fixed-income rulemaking, and an update on SEC Rule 15c2-11. This CLE program will discuss: Review of recent enforcement actions related to municipal securities (e.g., 529 Plans, municipal short positions), examination priorities, fixed income-related rulemaking and common problems uncovered during Member Supervision and Market... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppLeveraging Regulatory Technology for Your FirmDuring this CLE program, panelists discuss how RegTech is impacting the securities industry as well as related benefits, risks and regulatory considerations. The session also covers different RegTech tools available to enhance compliance efforts, such as FINRA's new Machine Readable Rulebook as well as other tools involving the use of artificial intelligence and cloud computing. This session will discuss: Considerations for using Regtech tool such as those incorporating AI for regul... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppMarket Regulation and Transparency Services Priorities: What You Need to KnowDuring this CLE session, FINRA staff discuss updates to market regulation and transparency priorities related to equities, options and fixed income compliance programs. This session will discuss: Discuss updates on market regulation and transparency priorities, including current initiatives and rulemaking FINRA panelists share thoughts on equities, options and fixed income compliance programs Include information on: Manipulative Trading Reg Notice 22-27 (TRACE) Fixed Income Fair... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppMarket Structure: Current Developments and Future TrendsDuring this session, panelists discuss current developments in market structure, including order handling, order routing and execution quality disclosure, and other developments for fixed income and equity securities. This session will discuss: Discuss current developments and future trends in the industry, including best execution guidance, payment for order flow issues and Transparency 605/606 A notice and comment period on Market Structure will wrap up around May – discuss notice... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppRedefining Communications Compliance for the Digital AgeAs we rely increasingly on mobile apps, social media, and other digital channels to communicate, how are firms addressing the compliance challenges and opportunities these media offer? Learn with industry and FINRA experts about how to navigate the increasingly complex landscape of firm communications with the public. Panelists cover lessons learned from FINRA’s ”finfluencer” targeted examinations, recent enforcement activity around off-channel communications, and how practitioners are approac... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppThe Evolution of Branch Office InspectionsJoin us as we delve into a thought-provoking exploration of the invaluable lessons acquired during the transformative journey towards remote branch inspections. Our esteemed panelists will engage in an enlightening discussion, unveiling a wealth of knowledge encompassing a range of crucial topics. Amidst a rapidly evolving regulatory landscape, our distinguished speakers will provide invaluable insights into the impact of FINRA inspections and other regulatory developments. Del... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppThe Firm Perspective on Monitoring and Protecting Against Financial CrimesJoin panelists for a comprehensive discussion on financial crimes from the firms' perspective. This CLE session covers a variety of tactics, red flags and mitigation strategies associated with fraud, insider trading, cybersecurity and money laundering. This session will discuss: Effective practices and controls for firms in monitoring, protecting against and addressing AML, cybersecurity and fraudulent activities Provide tips to identify potential “red flags” for fraud and insider tr... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppCurrent Trends and Threats in Financial CrimesIn this CLE session, Deputy Director Abbate and Under Secretary Nelson discuss the latest developments in financial crimes and illicit finance risk including new and emerging threats related to money laundering, fraud, securities fraud, cyber-crime, digital assets and sanctions. More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppFinancial Responsibility Rules and Relevant TouchpointsIn this informative CLE course, panelists will discuss topics involving SEC and FINRA financial responsibility rules, including regulatory obligations of introducing, intermediary, carrying and clearing firms under FINRA Rule 4311; SEA Rule 17a-4; and other topics including liquidity and fully-paid lending. More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppPrivate Placements: The Latest Regulatory Developments and Compliance ConsiderationsJoin panelists as they perform a deep dive into private placement regulatory developments including regulatory notice 23-XX as well as compliance obligations and best practices related to Reg BI, sales materials, due diligence, conflicts of interest and more. This session will discuss: Review regulatory developments, compliance obligations and effective compliance practices related to private placements, including discussion about Reg BI, Communications, Due Diligence and Conflicts of... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppThe Inside Scoop on Insider Threats and CybersecurityThis highly informative CLE session will delve into the multifaceted nature of insider and related cyber threats. In an increasingly interconnected digital landscape, it is vital for organizations to comprehend the compounding risks posed by these threats, understand where they can manifest, and proactively develop strategies to detect and mitigate insider activity. Throughout the session, our expert panelists will illuminate the evolving landscape of cyber threats, shedding light on th... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppAntitrust Merger Enforcement: Significant Regulatory Developments and Issues ExploredThis CLE course provides an in-depth overview of the US merger control process, antitrust agency priorities, forthcoming revisions to the US merger guidelines, and highlights of recent merger challenges. The course is designed to give attorneys a comprehensive understanding of the current state of antitrust regulations in the US and the role of antitrust agencies in reviewing and challenging mergers. The course will begin by exploring the fundamentals of US merger control process, inclu... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppCyber Security and Cyber Breach: What Lawyers and Their Law Firms Need to Know NowThis CLE program will discuss cyber security, the consequences of a cyber breach, including ethical considerations, and cyber insurance. In the U.S., we are faced with 50 state laws on data privacy and security. If your business holds personal information from a resident of a particular state, what legal and ethical obligations apply to your firm, and to your clients, under that state’s law? The FTC also watches to ensure that companies are complying with their posted privacy policies. Non-com... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppSkip Tracing for LawyersAttorneys in most areas of practice, especially trust and estates, personal injury, malpractice, debt collection and real estate law occasionally encounter situations requiring the location of missing people. This includes heirs, beneficiaries, witnesses, shareholders and debtors. In many instances, with the proper knowledge, resources and creativity, lawyers may be able to locate these absentees without having to retain the services of private investigators or skip tracers. This conti... More Info $501.25General Credits
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    On-DemandCD/DVD/USB, Online, iOS/Android AppForm CRS: Practical Considerations for AttorneysEvery attorney who is in the position of referring a client to a financial professional or firm needs to be aware of the firm's CRS, a new 2- to 4-page disclosure document that SEC-regulated firms must deliver to their clients. The CRS was adopted to help investors understand the different standards of care that apply to their financial professionals (investment advisers vs. broker-dealers vs. dual registrants), as well as conflicts of interest embedded in the firm's way of doing busi... More Info $501General Credit
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    On-DemandCD/DVD/USB, Online, iOS/Android AppOh How the Mighty Have Fallen: Crypto and the Federal Securities and Commodities LawsThis CLE program covers the basics of the intersection between “cryptocurrencies” and the federal securities and commodities laws. The title of this program comes from Samuel 2, 1:19. Why this title is apt should be obvious to anyone knowing of recent events in the world of crypto. The program discusses the allegations against Samuel Bankman-Fried, the former CEO of a group of companies known as “FTX,” by the U.S. Department of Justice, the Securities and Exchange Commission and the Com... More Info $501General Credit
