Nebraska CLE - Securities Law Courses
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Navigating FinCEN’s New Rule on Residential Real Estate Transactions
This CLE program provides a practical and timely analysis of FinCEN’s new residential real estate reporting rule and its implications for attorneys involved in real estate transactions. The rule represents a significant expansion of federal anti-money laundering oversight into the residential real estate market and imposes new reporting obligations for certain non-financed transactions involving legal entities and trusts. Participants will examine the scope and purpose of the rule, the... More Info
$501General Credit -
Representing the Startup Enterprise Through the “Four Stages” of Capital Formation
Raising 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 -
How Innovators Can Operationalize the GENIUS Act
The enactment of the GENIUS Act was a watershed moment for the digital assets sector as stablecoins became the first digital asset to have a comprehensive federal regulatory framework. Over the next 18 months, we will see a veritable alphabet soup of federal regulators implement the GENIUS Act through notice-and-comment rulemakings. During that time, banks, fintechs, and other entrepreneurs will be building and expanding stablecoin businesses across the crypto ecosystem. Join this panel to lea... More Info
$501General Credit -
The State Of The Art of Investment Advisor Regulations
This 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 -
Conflicts of Interest in the Financial Services Industry: What Every Attorney Needs to Know
Do 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