On Tuesday, August 26, 2014 at 12:00 p.m. Central, Seyfarth attorneys Scott Humphrey, Jason Stiehl and Rebecca Woods will present the sixth installment in its series of 2014 Trade Secret Webinars. They will focus on trade secret and client relationship considerations in the banking and finance industry, with a particular focus on a firm’s relationship with its FINRA members. Topics will include:
- Practical steps financial institutions can implement to protect trade secrets and client relationships.
- What should you do if your trade secrets are improperly removed or disclosed, or if your former employee is violating his/her agreements.
- How do you prosecute a case against a former employee who is a FINRA member.
- The impact of the Protocol for Broker Recruiting on trade secrets and client relationships.
Our panel consists of attorneys with experience advising clients on restrictive covenant and trade secret issues.
If you have any questions, please contact firstname.lastname@example.org .
*CLE: CLE Credit for this webinar has been awarded in the following states: CA, IL and NY. CLE Credit is pending for the following states: GA, NJ, TX and VA. Please note that in order to receive full credit for attending this webinar, the registrant must be present for the entire session.
There is no cost to attend this program, however, registration is required.