The first webinar of the 2011 series will focus on trade secret considerations in the banking and finance industry, with a particular focus on a firm’s relationship with its FINRA members. Topics will include:
- What practical steps can financial services institutions 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
Our panel consists of attorneys with experience advising clients on international non-compete and trade secret issues. CLE credit will be available for participants.*
Wednesday, April 6, 2011
10:00 am – 11:00 am Pacific
11:00 am – 12:00 pm Mountain
12:00 pm – 1:00 pm Central
1:00 pm – 2:00 pm Eastern
For questions, please contact events@seyfarth.com and reference this event.