New Jersey CLE - Corporate Law Courses
This is a listing of Corporate Law CLE Courses for New Jersey. Please make your selection below of New Jersey 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-DemandCDs, DVDs, USB Stick
Ethics and Social Responsibility in the Fashion Industry
The fashion industry has come under scrutiny in recent times on the subject of corporate social responsibility. Global retailers strive to ensure their global corporate standards for labor, safety, sustainability and quality are uniformly adhered to throughout their supply chain. The difficulty of achieving this goal is frayed with hurdles as global brands struggle to operate across different national governance, cultural differences and language variations. Our distinguished panel w... More Info
$751.8Ethics Credits -
On-DemandCD/DVD/USB, Online, iOS/Android App
Asset Protection Planning
Asset protection is designed to minimize a client’s exposure to risk, ideally before that risk has presented itself. This program will teach you everything you need to know about protecting your client’s assets from frivolous plaintiffs and creditors. Eli Akhavan, a leading expert in asset protection will cover specific planning strategies and solutions, including planning with business entities as well as domestic and foreign trusts. This CLE course will explain how to structure asset prote... More Info
$501.2General Credits -
On-DemandCD/DVD/USB, Online, iOS/Android App
Advance Conflict of Interest Waivers: Do's and Don'ts
In recent years, advance conflict of interest waivers have become increasingly common in law firm retainer agreements. In this CLE program, Ronald Minkoff, one of New York’s leading ethics lawyers and head of the Professional Responsibility Group at Frankfurt Kurnit Klein & Selz, P.C., will discuss these popular waivers: what they mean; what Rules of Professional Conduct govern them; their history in New York and nation-wide; relevant cases and ethics opinions; and their application in par... More Info
$501.3Ethics Credits -
On-DemandCD/DVD/USB, Online, iOS/Android App
Copyright Infringement: How to Defend Lawsuits and Protect Assets
The instructors provide an overview on copyright infringement, the importance of registration, fair use or unsure defense. They touch on the available damages for copyright and the importance of registration, delving into the actual damages and profits. The discussion also covers liability for the actions of employees, and the use of independent contractors and the avoidance of liability. With a strong bases on theory and its practical implications, the discussion advances to protecting assets i... More Info
$501.3General Credits -
On-DemandCD/DVD/USB, Online, iOS/Android App
Follow the Money: Legal Pitfalls of Investing in Cannabis
This CLE course will provide a broad overview regarding the wealth of opportunities that exist when thinking about investing in the cannabis industry, including breakdowns and industry overviews with current trends in mergers and acquisitions. This is followed by a discussion of regulatory and other key issues for U.S. investor clients including banking, 280E, and lack of research. The course continues with information about investing in cannabis abroad with a special focus on Canada and the p... More Info
$1252.5General Credits -
On-DemandCD/DVD/USB, Online, iOS/Android App
Owners’ Agreements for Start-Ups and Relatively New Companies
Every corporation or limited liability company with more than one owner should have a written agreement that, at the very least, sets forth the agreed terms respecting governance of the company. The most obvious of these are the pre-agreed terms as to how managerial decisions will be made and by whom. Many of these agreements also include buy-sell terms, i.e. terms that apply when an owner suffers a “Buy-Sell Event” such as death, disability, retirement, loss of license, etc. This CLE p... More Info
$751.5General Credits -
On-DemandCD/DVD/USB, Online, iOS/Android App
International Taxation: A Primer for Business and Immigration Lawyers
This CLE program will be a discussion on inbound taxation (foreigners doing business or investing in the U.S.). You will learn the important aspects such as income taxes applicable to non-resident aliens, pre-immigration planning, FIRPTA, and ownership structures for non-resident aliens. The discussion will also touch on the changes to international taxation brought about by the new tax act. More Info
$501.2General Credits -
On-DemandCDs, DVDs, USB Stick
Cyan, Inc. v. Beaver Country Employees Retirement Fund: What it Means; What We Can Expect
In a much-awaited decision on which courts and counsel have reached different conclusions for years, the United States Supreme Court held that the Securities Litigation Uniform Standards Act (“SLUSA”) does not strip state courts of jurisdiction over class action law suits brought exclusively under the Securities Act of 1933 (the “1933 Act”). The Supreme Court additionally held that SLUSA does not permit removal of class action claims brought solely under the 1933 Act from state to federal cour... More Info
$751.5General Credits -
On-DemandCD/DVD/USB, Online, iOS/Android App
Navigating the Purchase and Sale of a Financial Advisory Practice
Many attorneys service clients who are brokers and/or financial advisers in connection with various aspects of their business. In doing so, such attorneys are generally tasked with being well-versed the regulatory, contractual and litigation concerns these particular clients face. Due to the constant evolution of the financial advisory space, practices change hands by way of sale and merger on a fairly regular basis. These transactions are incredibly nuanced, subject to regulatory consideratio... More Info
$501.2General Credits -
On-DemandCD/DVD/USB, Online, iOS/Android App
Avoiding Legal Malpractice and Breach of Fiduciary Duty
This CLE program presented by attorney Norman Arnoff, will discuss Legal Malpractice, Fiduciary Duty in the legal profession and how the legal profession's concepts and standards of fiduciary duty can be adapted to the capital markets and the financial services industry. He outlines the elements of legal malpractice (1) attorney client relationship; (2) breach of the duty of care; (3) causation ("but for" or proximate cause) and (4) cognizable economic damages (and not pain and suffering or d... More Info
$751.5Ethics Credits