Webinars

Live audio webinars

Designed to keep Herbert Smith Freehills clients and contacts up-to-date with the business implications of the latest legal developments, our interactive “Soundbite” webinars are delivered in a practical, convenient way – direct to your desktop. You will hear our speakers lead you through the latest technical updates, accessing the audio from your computer or telephone, and can view slides and send questions via your computer. The webinars also qualify for CPD points.

Details of upcoming webinars are available here. Some previous webinars on financial services regulation and corporate crime are listed below. Each of these is available as an archived version and can be downloaded as a podcast.

If you are interested in registering for a webinar, or would like to obtain links to the archived versions of webinars, please contact Jane Webber.

Brexit – Possible UK exit from the EU: 08 July 2015

What to do when you’ve just been given notice of a Freezing Order – 9 June 2015

Cybersecurity: Global Crisis Prevention and Management – 31 March 2015

The Fourth Money Laundering Directive – an update: Tuesday 17 February 2015

Solvency II – some legal issues: Tuesday 3 February 2014

What to expect from your regulators in 2014

  • EMEA and US: 28 January 2014
  • Asia Pacific: 28 February 2014

Responding to cross-border financial services investigations

  • in Europe: 17 September 2013 
  • Asia Pacific: 4 September 2013

Competition Regulation in Financial Services: spotlight on Insurance, Thursday 7 November 2013

The Alternative Investment Fund Managers Directive (AIFMD): Maintaining access to European investors, Thursday 26 September 2013

UK FCA consults on the AIFMD remuneration provisions, Tuesday 24 September 2013

Responding to Cross-Border Financial Services Investigation in Europe, Tuesday 17 September 2013

Responding to Cross-Border Financial Services Investigations in Asia Pacific, Wednesday 4 September 2013

Whistleblowing (from a UK and UK perspective) – 12 Mar 2013

UK Financial Services Regulatory Architecture – progress update, Wednesday 5 December 2012

Retail distribution of investment products – a changing landscape (Europe), Wednesday 21 November 2012

ASXs continuous disclosure guidelines bring welcomed clarity to Australian markets, (Boardroom Radio), 19 October 2012

White collar crime: ACCC to match rhetoric with action – 12 September 2012

Responding to cross-border financial services investigations (Hong Kong, Japan, Russia & Dubai) – Tuesday 3 July 9:30 – 10:30 am

Responding to cross-border financial services investigations (Europe) – Wednesday 20 June 2012, 12:45 – 13:45 pm

Tightened regulation of IPO sponsors (Hong Kong) – Wednesday 20 June 2012, 10:30 – 11:30

The new FATF Recommendations and proposed revisions to the Third Money Laundering Directive: What points are significant for regulated firms? – Thursday 31 May 2012 9.30 – 10.30am

Eurozone Crisis: A Greek exit from the euro – potential contentious issues – Wednesday 30 May 2012 11.00am – 12.00pm

Live audio webinar: Litigation webinar: pre-action strategy – Tuesday 29 May 2012 12.45 – 1.45pm

 

The Bribery Act: a round up – 28 February 2012

Fraud Update – 8 December 2011

Fraud Update – 21 September 2011

Corporate governance post financial crisis in Asia: issues for senior management – 11 April 2011

The Bribery Act: adequate procedures guidance – 8 April 2011

The UK Bribery Act: adequate procedures guidance: US Entities – 8 April 2011

Who ‘owns’ a bribe – the recipient or victim? – the impact of Sinclair v Versailles – 7 April 2011

Libyan Sanctions Regime – what are the implications for business? – 30 March 2011

Illegality in international arbitration – the relevance and effect of criminal law – 16 March 2011

The changing face of UK financial services regulatory architecture – 9 March 2011

Capital Requirements Directive III and the FSA’s Remuneration Code – what you need to know for implementation – Tuesday 11 January 2011

The changing face of UK financial services regulatory architecture – 21 September 2010

Abolition of the FSA: What does it mean and does it matter in the context of European reforms? – 6 July 2010

Shah v HSBC – what does the decision mean? – 23 February 2010

Retail distribution of investment products – a discussion of issues arising in key jurisdictions – 9 December 2009

Money laundering in practice: the lifecycle of a Suspicious Activity Report (SAR) – demystifying the consent process – 15 October 2008

MiFID: what is keeping firms awake at nights – 17 October 2007