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Since its inception, NYCLA has been at the forefront of most legal debates in the country. We have provided legal education for more than 40 years.
How you handle a securities regulatory investigation is critical, and being uninformed or ill-prepared could lead to significant consequences for your client. It is also important to understand your ethical obligations before, during, and after an investigation, as representation lines may become blurred.
At this webinar, our panel of experienced practitioners will discuss:
Faculty: Robert Herskovits, Managing Member, Herskovitts PLLC (herskovitslaw.com); Ronald Minkoff, Partner, Frankfurt Kurnit & Selz (fkks.com); Alex Russell, Managing Director, of White Collar, Regulatory and Internal Investigations, Bates Group (https://www.batesgroup.com/experts/alex-russell); Susan Schroeder, Partner, Former Head of FINRA Enforcement and Vice Chair, Securities & Financial Services Department, WilmerHale (https://www.wilmerhale.com/en/people/susan-schroeder)
Program Chairs and Moderator: Susan L. Harper, Managing Director, Bates Group (Co-Chair, NYCLA Securities & Exchanges Committee) – Moderator; Benjamin Jackson, Associate, Cohen Milstein (Co-Chair, NYLCA Securities & Exchanges Committee)
Program Co-Sponsor: NYCLA’s Securities and Exchanges Committee
1.5 NY Credits: 1 Ethics; 0.5 Skills; Non-transitional; 1.5 NJ Credits: 1 Ethics; 0.5 General
All Programs include 1 Affirmation and 1 Evaluation Form, and Course Materials.
To receive CLE credit for a program in Online Video Format:
Online Videos contain CLE codes that you must type into a supplied online affirmation form. Submit the online affirmation to the NYCLA CLE Institute to be issued a CLE certificate. We recommend that you watch the video as soon as possible.
We can only issue CLE credit if the law is still current.
Course Materials: You can download course materials on the Online Video webpage.