Labor and Employmentclose
Price
$219.00
Learning Method
On-Demand Training
Product
CLE
Content Provider
American Law Institute CLE
Run Time
61 Minutes
Recording Date
04/21/2022
Catalog
General
Presenter(s)
Stacey C.S. Cerrone, Karen L. Handorf
Credits
Click Here
Practice Area
Labor and Employment, Litigation
Approved States
AK, AR, AZ, CA, CT, HI, MO, NH, NJ, NM, NY, OR, RI, TN, VT, WI, WV

Class actions challenging 401(k) and 403(b) plan fees are on the rise, with over 170 separate class actions having been filed around the country across different industries and against plans of varying sizes. The underlying claims in these suits typically allege excessive fees, poor fund choices, poor plan design, fiduciary neglect, and/or prohibited transactions. In January, the Supreme Court’s unanimous decision in Hughes v. Northwestern University, remanding the case back to the 7th Circuit, demonstrated that the fiduciary duty of prudence required by the Employee Retirement Incomes Security Act (ERISA) remains as important as ever. It reaffirmed the duty to continuously monitor investment options under the plan, especially when lower-cost share classes are available for funds.

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Price
$259.00
Learning Method
On-Demand Training
Product
CLE
Content Provider
American Law Institute CLE
Run Time
91 Minutes
Recording Date
12/10/2021
Catalog
General
Presenter(s)
Colleen E. Coveney, Lindsay Neinast
Credits
Click Here
Practice Area
Labor and Employment
Approved States
AK, AL, AR, AZ, CA, CO, CT, DE, FL, GA, HI, IA, ID, IL, IN, KS, LA, ME, MN, MO, MS, MT, ND, NE, NH, NJ, NM, NY, OH, OK, OR, PA, PR, SC, TN, TX, VA, VT, WA, WI, WV, WY

Post-employment restrictive covenants continue to be the focus of much debate. On the one hand, many view restrictive covenants as contrary to public policy and harmful to trade and professional development. On the other hand, many employers place much value on restrictive covenants, which provide them a tool to protect corporate assets including client contacts, product details, and organizational processes - to a degree. While courts have for years resolved disputes between employees and employers over the proper scope of restrictive covenants, state legislatures have also started to weigh in on the debate recently, enacting legislation intended to severely limit, or in some cases, outright ban, non-competes under certain circumstances. During this presentation, learn how to balance the tension between employer, employee, and public policy needs when it comes to restrictive covenants.

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Price
$259.00
Learning Method
On-Demand Training
Product
CLE
Content Provider
American Law Institute CLE
Run Time
82 Minutes
Recording Date
11/05/2021
Catalog
General
Presenter(s)
Brent J. Fields, Tim Pfeiffer, Tom Streiff
Credits
Click Here
Practice Area
Insurance, Securities and SEC, Labor and Employment
Approved States
AK, AL, AR, AZ, CA, CO, CT, DE, FL, GA, HI, IA, ID, IL, IN, KS, KY, ME, MN, MO, MS, ND, NE, NH, NJ, NM, NY, OH, OK, OR, PA, PR, RI, SC, TN, TX, VT, WI, WV, WY

Nationally recognized legal practitioners; senior officials from state insurance departments, SEC, FINRA, Department of Labor Department, and Department of Treasury; industry leaders and compliance professionals; and industry consultants will address the following topics and more: • New and emerging product designs and trends • Evolving regulatory landscape affecting registered index-linked annuities (RILAs) • Key insights on new variable product disclosure requirements and SEC disclosure review priorities • Compliance with Regulation Best Interest and other federal and state standard of conduct requirements affecting broker-dealers and insurance producers • State insurance regulatory developments affecting fixed and fixed index products and product innovation • SEC and FINRA compliance examination and enforcement priorities and developments affecting broker-dealers, variable insurance products, mutual funds, and investment advisers • Important DOL, Treasury, and IRS developments affecting retirement plans and annuity products • Significant key regulatory developments affecting mutual funds and investment advisers involved with registered and unregistered insurance products

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Price
$259.00
Learning Method
On-Demand Training
Product
CLE
Content Provider
American Law Institute CLE
Run Time
115 Minutes
Recording Date
11/05/2021
Catalog
General
Presenter(s)
Chip Lunde, Kate Fuentes, Robert Shapiro, Amanda Wagner, Steven Choi, Ann Furman, Jeannette Wingler
Credits
Click Here
Practice Area
Insurance, Securities and SEC, Labor and Employment
Approved States
AK, AL, AR, AZ, CA, CO, CT, DE, FL, GA, HI, IA, ID, IL, IN, KS, KY, ME, MN, MO, MS, ND, NE, NH, NJ, NM, NY, OH, OR, PA, PR, RI, SC, TN, TX, VT, WI, WV, WY

Nationally recognized legal practitioners; senior officials from state insurance departments, SEC, FINRA, Department of Labor Department, and Department of Treasury; industry leaders and compliance professionals; and industry consultants will address the following topics and more: • New and emerging product designs and trends • Evolving regulatory landscape affecting registered index-linked annuities (RILAs) • Key insights on new variable product disclosure requirements and SEC disclosure review priorities • Compliance with Regulation Best Interest and other federal and state standard of conduct requirements affecting broker-dealers and insurance producers • State insurance regulatory developments affecting fixed and fixed index products and product innovation • SEC and FINRA compliance examination and enforcement priorities and developments affecting broker-dealers, variable insurance products, mutual funds, and investment advisers • Important DOL, Treasury, and IRS developments affecting retirement plans and annuity products • Significant key regulatory developments affecting mutual funds and investment advisers involved with registered and unregistered insurance products

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Price
$259.00
Learning Method
On-Demand Training
Product
CLE
Content Provider
American Law Institute CLE
Run Time
118 Minutes
Recording Date
11/05/2021
Catalog
General
Presenter(s)
Daniel Kahl, Joseph Sheirer, John Walsh, James Day, C. Dabney O'Riordan, Stephen Topetzes
Credits
Click Here
Practice Area
Insurance, Securities and SEC, Labor and Employment
Approved States
AK, AL, AR, AZ, CA, CO, CT, DE, FL, GA, HI, IA, ID, IL, IN, KS, ME, MN, MO, MS, ND, NE, NH, NJ, NM, NY, OH, OR, PA, PR, RI, SC, TN, TX, VT, WI, WV, WY

Nationally recognized legal practitioners; senior officials from state insurance departments, SEC, FINRA, Department of Labor Department, and Department of Treasury; industry leaders and compliance professionals; and industry consultants will address the following topics and more: • New and emerging product designs and trends • Evolving regulatory landscape affecting registered index-linked annuities (RILAs) • Key insights on new variable product disclosure requirements and SEC disclosure review priorities • Compliance with Regulation Best Interest and other federal and state standard of conduct requirements affecting broker-dealers and insurance producers • State insurance regulatory developments affecting fixed and fixed index products and product innovation • SEC and FINRA compliance examination and enforcement priorities and developments affecting broker-dealers, variable insurance products, mutual funds, and investment advisers • Important DOL, Treasury, and IRS developments affecting retirement plans and annuity products • Significant key regulatory developments affecting mutual funds and investment advisers involved with registered and unregistered insurance products

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Price
$259.00
Learning Method
On-Demand Training
Product
CLE
Content Provider
American Law Institute CLE
Run Time
84 Minutes
Recording Date
11/04/2021
Catalog
General
Presenter(s)
Allison Herren Lee, Michele Abate, Ronald Coenen, Jr., William Kotapish, Andrea Ottomanelli Magovern
Credits
Click Here
Practice Area
Insurance, Securities and SEC, Labor and Employment
Approved States
AK, AL, AR, AZ, CA, CO, CT, DE, FL, GA, HI, IA, ID, IL, IN, KS, KY, ME, MN, MO, MS, ND, NE, NH, NJ, NM, NY, OH, OK, OR, PA, PR, RI, SC, TN, TX, VT, WI, WV, WY

Nationally recognized legal practitioners; senior officials from state insurance departments, SEC, FINRA, Department of Labor Department, and Department of Treasury; industry leaders and compliance professionals; and industry consultants will address the following topics and more: • New and emerging product designs and trends • Evolving regulatory landscape affecting registered index-linked annuities (RILAs) • Key insights on new variable product disclosure requirements and SEC disclosure review priorities • Compliance with Regulation Best Interest and other federal and state standard of conduct requirements affecting broker-dealers and insurance producers • State insurance regulatory developments affecting fixed and fixed index products and product innovation • SEC and FINRA compliance examination and enforcement priorities and developments affecting broker-dealers, variable insurance products, mutual funds, and investment advisers • Important DOL, Treasury, and IRS developments affecting retirement plans and annuity products • Significant key regulatory developments affecting mutual funds and investment advisers involved with registered and unregistered insurance products

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Price
$259.00
Learning Method
On-Demand Training
Product
CLE
Content Provider
American Law Institute CLE
Run Time
118 Minutes
Recording Date
11/04/2021
Catalog
General
Presenter(s)
Ann Black, Michael Conway, Evan Daniels, Beth Dwyer, Ryan Berends, Dodie Kent, Sally Samuel, Peter Weber
Credits
Click Here
Practice Area
Insurance, Securities and SEC, Labor and Employment
Approved States
AK, AL, AR, AZ, CA, CO, CT, DE, FL, GA, HI, ID, IL, IN, KS, KY, ME, MN, MO, MS, ND, NH, NJ, NM, NY, OH, OK, OR, PA, PR, RI, SC, TN, TX, VT, WI, WV, WY

Nationally recognized legal practitioners; senior officials from state insurance departments, SEC, FINRA, Department of Labor Department, and Department of Treasury; industry leaders and compliance professionals; and industry consultants will address the following topics and more: • New and emerging product designs and trends • Evolving regulatory landscape affecting registered index-linked annuities (RILAs) • Key insights on new variable product disclosure requirements and SEC disclosure review priorities • Compliance with Regulation Best Interest and other federal and state standard of conduct requirements affecting broker-dealers and insurance producers • State insurance regulatory developments affecting fixed and fixed index products and product innovation • SEC and FINRA compliance examination and enforcement priorities and developments affecting broker-dealers, variable insurance products, mutual funds, and investment advisers • Important DOL, Treasury, and IRS developments affecting retirement plans and annuity products • Significant key regulatory developments affecting mutual funds and investment advisers involved with registered and unregistered insurance products

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Price
$259.00
Learning Method
On-Demand Training
Product
CLE
Content Provider
American Law Institute CLE
Run Time
87 Minutes
Recording Date
11/04/2021
Catalog
General
Presenter(s)
Dean L. Cameron, Jason Berkowitz, Vanessa Friedhoff, Matthew Gendron, Kevin Mechtley
Credits
Click Here
Practice Area
Insurance, Securities and SEC, Labor and Employment
Approved States
AK, AL, AR, AZ, CA, CO, CT, DE, FL, GA, HI, IA, IL, IN, KS, KY, ME, MN, MO, MS, ND, NE, NH, NJ, NM, NY, OH, OK, OR, PA, PR, RI, SC, TN, TX, VT, WI, WV, WY

Nationally recognized legal practitioners; senior officials from state insurance departments, SEC, FINRA, Department of Labor Department, and Department of Treasury; industry leaders and compliance professionals; and industry consultants will address the following topics and more: • New and emerging product designs and trends • Evolving regulatory landscape affecting registered index-linked annuities (RILAs) • Key insights on new variable product disclosure requirements and SEC disclosure review priorities • Compliance with Regulation Best Interest and other federal and state standard of conduct requirements affecting broker-dealers and insurance producers • State insurance regulatory developments affecting fixed and fixed index products and product innovation • SEC and FINRA compliance examination and enforcement priorities and developments affecting broker-dealers, variable insurance products, mutual funds, and investment advisers • Important DOL, Treasury, and IRS developments affecting retirement plans and annuity products • Significant key regulatory developments affecting mutual funds and investment advisers involved with registered and unregistered insurance products

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Price
$259.00
Learning Method
On-Demand Training
Product
CLE
Content Provider
American Law Institute CLE
Run Time
94 Minutes
Recording Date
11/04/2021
Catalog
General
Presenter(s)
Jean Klinefelter Wilson, Jim Szostek, Timothy D. Hauser, Mark Griffin, Matin Momen, Carol Weiser
Credits
Click Here
Practice Area
Insurance, Securities and SEC, Labor and Employment
Approved States
AK, AL, AR, AZ, CA, CO, CT, DE, FL, GA, HI, IA, ID, IL, IN, KS, KY, ME, MN, MO, MS, ND, NE, NH, NJ, NM, NY, OH, OR, PA, PR, RI, SC, TN, TX, VT, WI, WV, WY

Nationally recognized legal practitioners; senior officials from state insurance departments, SEC, FINRA, Department of Labor Department, and Department of Treasury; industry leaders and compliance professionals; and industry consultants will address the following topics and more: • New and emerging product designs and trends • Evolving regulatory landscape affecting registered index-linked annuities (RILAs) • Key insights on new variable product disclosure requirements and SEC disclosure review priorities • Compliance with Regulation Best Interest and other federal and state standard of conduct requirements affecting broker-dealers and insurance producers • State insurance regulatory developments affecting fixed and fixed index products and product innovation • SEC and FINRA compliance examination and enforcement priorities and developments affecting broker-dealers, variable insurance products, mutual funds, and investment advisers • Important DOL, Treasury, and IRS developments affecting retirement plans and annuity products • Significant key regulatory developments affecting mutual funds and investment advisers involved with registered and unregistered insurance products

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Price
$219.00
Learning Method
On-Demand Training
Product
CLE
Content Provider
American Law Institute CLE
Run Time
75 Minutes
Recording Date
10/26/2021
Catalog
General
Presenter(s)
Jaye A. Calhoun, Edward J. Leyden
Credits
Click Here
Practice Area
Labor and Employment, Taxation
Approved States
AK, AL, AR, AZ, CA, CT, DE, FL, GA, HI, IA, ID, IL, IN, KS, LA, ME, MN, MO, MS, MT, ND, NE, NH, NJ, NM, NY, OH, OK, OR, PA, PR, RI, SC, TN, TX, VA, VT, WA, WI, WV, WY

The Remote Workplace – With the implementation of remote work arrangements, American businesses improvised, adapted, and, ultimately, overcame the massive disruption of COVID. Now, remote working has become the new model for how companies are operating in every sector of the economy. This course addresses the vital issues related to how businesses and their employees can address the state and federal tax issues that arise when an individual remote worker toils from their out-of-state home.

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