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Civil RICO: Fifty-Five Years on Substantive and Conspiracy Claims Under 18 U.S.C. §§ 1962 and 1964(C)

2026-07-30 13:00:00

2 hours

2026-07-30 13:00:00

2 Credits

Master civil RICO litigation under §§ 1962 and 1964(c): plead enterprises, patterns, and conspiracies, satisfy the operation-and-management test, and pursue treble damages and attorneys’ fees effectively.

2026-07-30 13:00:00

2 hours

Master civil RICO litigation under §§ 1962 and 1964(c): plead enterprises, patterns, and conspiracies, satisfy the operation-and-management test, and pursue treble damages and attorneys’ fees effectively.

2026-07-30 13:00:00

2 hours

1000+

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Course Overview

A Mob Statute Reborn as a Fraud Litigation Weapon

Congress wrote RICO to break organized crime, but fifty-five years of litigation has turned 18 U.S.C. §§ 1962 and 1964(c) into a fraud and business-tort weapon that most civil litigators encounter without mastering its mechanics. The doctrinal traps multiply faster than the statute’s plain text suggests—the person/enterprise distinction from Cedric Kushner and Boyle, the operation-or-management test of Reves, the pattern continuity rules from H.J. Inc., and the proximate-cause limits of Holmes and Bridge each defeat well-meaning complaints at the pleading stage. With Medical Marijuana, Inc. v. Horn (2025) reopening what counts as injury to “business or property,” any attorney drafting or defending a § 1962(c) or § 1962(d) claim now operates against shifting standing rules. This class maps the predicate acts under § 1961(1), the conspiracy elements under Salinas and Beck, and the treble-damages and fee remedies of § 1964(c). Attendees leave able to plead enterprises, allege patterns, and survive dismissal—or dismantle claims that cannot.

Key topics that will be covered

What will you learn

Attorneys learn to conceptualize civil RICO claims under §§ 1962, 1964, and 1965, plead the essential elements, and pursue remedies including damages, treble damages, and attorneys' fees.

What will you gain

They gain command of the elements of § 1962(c)—person, enterprise, operation and management, pattern of racketeering—plus conspiracy claims under § 1962(d) and civil standing under § 1964(c).

Statutory framework
Sections 1961, 1962, 1964, and 1965 define RICO’s prohibitions, remedies, venue, and process.
Prohibited activities
Section 1962 prohibits money laundering, loan sharking, operating an enterprise, and conspiracy.
Enterprise distinction
A defendant person cannot be the enterprise; the two remain legally distinct.
Operation management
Under Reves, RICO liability requires some part in directing the enterprise’s affairs.
Pattern requirement
Pattern requires continuity plus relationship, which may be closed- or open-ended.
Civil standing
Section 1964(c) confers standing on persons injured in business or property.

What will you learn

Attorneys learn to conceptualize civil RICO claims under §§ 1962, 1964, and 1965, plead the essential elements, and pursue remedies including damages, treble damages, and attorneys' fees.

What will you gain

They gain command of the elements of § 1962(c)—person, enterprise, operation and management, pattern of racketeering—plus conspiracy claims under § 1962(d) and civil standing under § 1964(c).

Agenda

Session 1

RICO’s Historical Context (1950 -1970)

Session 2

The Civil RICO Explosion (1980 –1990)

Session 3

Early Intervention by SCOTUS (1985-1995)

Session 4

Conceptualizing Civil RICO Claims: §§ 1962, 1964, 1965

Session 5

Pleading the Essential Elements: Person

Session 6

Pleading the Essential Elements: Enterprise

Session 7

Pleading the Essential Elements: Operation and Management

Session 8

Pleading the Essential Elements: Pattern of Racketeering

Session 9

Pleading the Essential Elements: Civil Standing

Session 10

Remedies: Damages

Session 11

Remedies: Treble Damages

Session 12

Remedies: Attorney’s Fees

Session 13

Remedies: Equitable Relief

clock 1:00 pm - 1:10 pm EST

RICO’s Historical Context (1950 -1970)

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

A look at the conditions that produced RICO, tracing the statute’s roots from 1950 to 1970 and the organized-crime concerns Congress sought to confront through federal racketeering law.

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

clock 1:10 pm - 1:20 pm EST

The Civil RICO Explosion (1980 –1990)

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

The surge of civil RICO filings from 1980 to 1990, when plaintiffs discovered §§ 1962 and 1964(c) reached far beyond the Mafia into fraud and business disputes.

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

clock 1:20 pm - 1:30 pm EST

Early Intervention by SCOTUS (1985-1995)

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

The Supreme Court’s early intervention from 1985 to 1995, including Sedima, H.J. Inc., Holmes, and Reves, decisions that shaped civil standing, pattern, and the operation-management test.

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

clock 1:30 pm - 1:40 pm EST

Conceptualizing Civil RICO Claims: §§ 1962, 1964, 1965

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

The structure of civil RICO claims under §§ 1962, 1964, and 1965, covering prohibited activities, civil remedies, and venue and process across the statute’s interlocking provisions.

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

clock 1:40 pm - 1:50 pm EST

Pleading the Essential Elements: Person

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

The defendant “person” element, including why a person cannot be the enterprise and why governmental entities cannot be named, drawing on Cedric Kushner and Gil Ramirez Group.

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

clock 1:50 pm - 2:00 pm EST

Pleading the Essential Elements: Enterprise

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

The enterprise element under § 1961(4), the person/enterprise distinction, and association-in-fact enterprises, with Boyle’s three requirements: common purpose, relationship among members, and sufficient longevity to pursue that purpose.

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

clock 2:10 pm - 2:20 pm EST

Pleading the Essential Elements: Operation and Management

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

The operation-or-management test from Reves v. Ernst & Young, requiring some part in directing the enterprise’s affairs—reaching lower-rung participants while excluding ordinary professional assistance and mere negligence.

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

clock 2:20 pm - 2:30 pm EST

Pleading the Essential Elements: Pattern of Racketeering

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

The pattern element under H.J. Inc., defined as continuity plus relationship, with predicate acts from § 1961(1) and closed- or open-ended continuity distinguishing genuine patterns from isolated events.

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

clock 2:30 pm - 2:40 pm EST

Pleading the Essential Elements: Civil Standing

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

The civil standing requirement under § 1964(c), limiting recovery to injury to business or property and requiring proximate cause under Holmes and Bridge, not merely but-for causation.

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

clock 2:40 pm - 2:45 pm EST

Remedies: Damages

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

The compensatory damages available for injury to business or property under § 1964(c), and the exclusion of emotional-distress and personal-injury damages, as recognized in Grogan and revisited in Horn.

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

clock 2:45 pm - 2:50 pm EST

Remedies: Treble Damages

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

The treble-damages remedy under § 1964(c), automatically trebling a prevailing plaintiff’s actual damages—a provision courts treat as partially punitive, which bars naming governmental entities as RICO defendants.

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

clock 2:50 pm - 3:00 pm EST

Remedies: Attorney’s Fees

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

The mandatory award of reasonable attorneys’ fees to prevailing RICO plaintiffs under § 1964(c), a fee-shifting provision that materially shapes both the leverage and economics of litigation.

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

clock 3:00 pm - 3:10 pm EST

Remedies: Equitable Relief

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

The availability of equitable relief in civil RICO actions, an enumerated remedy alongside damages, treble damages, and attorneys’ fees that broadens what prevailing parties can ask courts to order.

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

01 13
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speakers

Joe Ervin

The Law Firm for Truck Safety, LLP
A Partner at The Law Firm for Truck Safety. He focuses exclusively on cases involving commercial motor vehicle crashes and wrongful death. Joe also holds a valid class “A” commercial driver’s license with endorsements for double/triple trailers and tankers.

Education & Credentials

A 2013 graduate of the Gerry Spence Trial Lawyers College in Dubois, Wyoming, Joe is rated AV Preeminent™ by Martindale-Hubbell — the highest peer rating for exceptional legal ability and ethics. He is among the first nine attorneys nationwide to earn board certification in Truck Accident Law from the National Board of Trial Advocacy.

Recognition & Leadership

Joe received the Roadway Safety Award from the American Association for Justice (AAJ) for his commitment to improving highway safety.
 He currently serves as Co-Chair of the Academy of Truck Accident Attorneys (ATAA) Safety Committee, advocating for higher safety standards across the trucking industry.

Professional Involvement

Joe serves on the faculty of the AAJ Advanced Trial Advocacy College: Litigating Truck Collision Cases (2015 & 2024).
 He is an active member of AAJ’s Trucking Litigation Group and sits on the Board of Regents for the Academy of Truck Accident Attorneys.

Experience

Joe frequently consults and co-counsels on complex commercial truck cases. His proven track record includes numerous successful trials against motor carriers and truck leasing companies — delivering justice for victims of commercial vehicle accidents.

Kevin Foley

Reminger Co
A Partner at The Law Firm for Truck Safety. He focuses exclusively on cases involving commercial motor vehicle crashes and wrongful death. Joe also holds a valid class “A” commercial driver’s license with endorsements for double/triple trailers and tankers.

Education & Credentials

A 2013 graduate of the Gerry Spence Trial Lawyers College in Dubois, Wyoming, Joe is rated AV Preeminent™ by Martindale-Hubbell — the highest peer rating for exceptional legal ability and ethics. He is among the first nine attorneys nationwide to earn board certification in Truck Accident Law from the National Board of Trial Advocacy.

Recognition & Leadership

Joe received the Roadway Safety Award from the American Association for Justice (AAJ) for his commitment to improving highway safety.
 He currently serves as Co-Chair of the Academy of Truck Accident Attorneys (ATAA) Safety Committee, advocating for higher safety standards across the trucking industry.

Professional Involvement

Joe serves on the faculty of the AAJ Advanced Trial Advocacy College: Litigating Truck Collision Cases (2015 & 2024).
 He is an active member of AAJ’s Trucking Litigation Group and sits on the Board of Regents for the Academy of Truck Accident Attorneys.

Experience

Joe frequently consults and co-counsels on complex commercial truck cases. His proven track record includes numerous successful trials against motor carriers and truck leasing companies — delivering justice for victims of commercial vehicle accidents.

Grant H. Lawson

The Law Firm for Truck Safety, LLP
A Partner at The Law Firm for Truck Safety. He focuses exclusively on cases involving commercial motor vehicle crashes and wrongful death. Joe also holds a valid class “A” commercial driver’s license with endorsements for double/triple trailers and tankers.

Education & Credentials

A 2013 graduate of the Gerry Spence Trial Lawyers College in Dubois, Wyoming, Joe is rated AV Preeminent™ by Martindale-Hubbell — the highest peer rating for exceptional legal ability and ethics. He is among the first nine attorneys nationwide to earn board certification in Truck Accident Law from the National Board of Trial Advocacy.

Recognition & Leadership

Joe received the Roadway Safety Award from the American Association for Justice (AAJ) for his commitment to improving highway safety.
 He currently serves as Co-Chair of the Academy of Truck Accident Attorneys (ATAA) Safety Committee, advocating for higher safety standards across the trucking industry.

Professional Involvement

Joe serves on the faculty of the AAJ Advanced Trial Advocacy College: Litigating Truck Collision Cases (2015 & 2024).
 He is an active member of AAJ’s Trucking Litigation Group and sits on the Board of Regents for the Academy of Truck Accident Attorneys.

Experience

Joe frequently consults and co-counsels on complex commercial truck cases. His proven track record includes numerous successful trials against motor carriers and truck leasing companies — delivering justice for victims of commercial vehicle accidents.

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Jeffrey E. Grell

Ted Lyon Law

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Kevin P. Roddy is a shareholder at Wilentz, Goldman & Spitzer, P.A. whose practice focuses on complex litigation, including class actions involving antitrust, consumer protection, unfair trade practices, anti-racketeering, and securities fraud claims. For more than 35 years, he has represented plaintiffs in significant class actions, representative actions, derivative actions, and civil RICO matters in federal and state courts throughout the United States. Widely recognized as an authority on civil RICO litigation, Kevin has served as lead or co-lead counsel in numerous high-profile cases that have resulted in substantial recoveries for consumers, shareholders, and businesses. He is also a prolific author, lecturer, and expert witness whose work has helped shape the development of class action and RICO jurisprudence nationwide.

Education & Credentials

Kevin is admitted to practice before the United States Supreme Court, numerous federal circuit courts of appeals, and multiple federal district courts throughout the country. He is admitted in New Jersey, New York, California, and Virginia. His extensive admissions and decades of experience in federal and state courts have enabled him to litigate complex class actions, securities cases, antitrust matters, and civil RICO claims across a broad range of jurisdictions.

Recognition & Leadership

Kevin has held numerous leadership positions within the plaintiffs’ bar and class action community. He served as President of the National Association of Shareholder and Consumer Attorneys from 2005 to 2007, served on its Executive Committee from 2000 to 2011, and chaired its Amicus Committee from 1991 to 2011. He was also selected for inclusion in the New Jersey Super Lawyers list for Class Action and Mass Torts law. His reputation as a leader in complex litigation is reflected in his appointments as lead or co-lead counsel in major nationwide class actions and significant civil RICO cases throughout his career.

Professional Involvement

Kevin has made substantial contributions to legal scholarship, professional education, and appellate advocacy. He is the author of RICO in Business and Commercial Litigation, a leading treatise on civil RICO law, and has served as Civil Law Editor of the RICO Law Reporter and as a member of the Editorial Advisory Board of the Civil RICO Report. He has been a frequent speaker at continuing legal education programs sponsored by organizations including the American Bar Association, the Federal Trade Commission, the American Law Institute-American Bar Association, Litigation Counsel of America, and numerous state bar associations. In addition, he has participated extensively in appellate advocacy through the filing of dozens of amicus curiae briefs in the United States Supreme Court and other appellate courts.

Experience

Kevin has more than three decades of experience litigating complex class actions, antitrust disputes, securities fraud claims, shareholder derivative actions, consumer protection cases, and civil RICO matters. Throughout his career, he has served as lead or co-lead counsel in significant litigation resulting in recoveries exceeding $2 billion. His experience includes trial work in federal and state courts across the country, appellate advocacy before multiple federal circuit courts and the United States Supreme Court, and expert witness testimony in both civil and criminal matters. He has successfully represented classes involving consumer fraud, financial services, securities litigation, health care disputes, antitrust claims, environmental contamination, product liability, shareholder rights, and racketeering allegations. His appellate experience includes arguing a civil RICO case before the United States Supreme Court in Anza v. Ideal Steel Supply Corp., a decision that established an important standard for proximate causation in civil RICO litigation.

Kevin P. Roddy

Wilentz, Goldman & Spitzer, P.A

Kevin P. Roddy is a shareholder at Wilentz, Goldman & Spitzer, P.A. whose practice focuses on complex litigation, including class actions involving antitrust, consumer protection, unfair trade practices, anti-racketeering, and securities fraud claims. For more than 35 years, he has represented plaintiffs in significant class actions, representative actions, derivative actions, and civil RICO matters in federal and state courts throughout the United States. Widely recognized as an authority on civil RICO litigation, Kevin has served as lead or co-lead counsel in numerous high-profile cases that have resulted in substantial recoveries for consumers, shareholders, and businesses. He is also a prolific author, lecturer, and expert witness whose work has helped shape the development of class action and RICO jurisprudence nationwide.

Education & Credentials

Kevin is admitted to practice before the United States Supreme Court, numerous federal circuit courts of appeals, and multiple federal district courts throughout the country. He is admitted in New Jersey, New York, California, and Virginia. His extensive admissions and decades of experience in federal and state courts have enabled him to litigate complex class actions, securities cases, antitrust matters, and civil RICO claims across a broad range of jurisdictions.

Recognition & Leadership

Kevin has held numerous leadership positions within the plaintiffs’ bar and class action community. He served as President of the National Association of Shareholder and Consumer Attorneys from 2005 to 2007, served on its Executive Committee from 2000 to 2011, and chaired its Amicus Committee from 1991 to 2011. He was also selected for inclusion in the New Jersey Super Lawyers list for Class Action and Mass Torts law. His reputation as a leader in complex litigation is reflected in his appointments as lead or co-lead counsel in major nationwide class actions and significant civil RICO cases throughout his career.

Professional Involvement

Kevin has made substantial contributions to legal scholarship, professional education, and appellate advocacy. He is the author of RICO in Business and Commercial Litigation, a leading treatise on civil RICO law, and has served as Civil Law Editor of the RICO Law Reporter and as a member of the Editorial Advisory Board of the Civil RICO Report. He has been a frequent speaker at continuing legal education programs sponsored by organizations including the American Bar Association, the Federal Trade Commission, the American Law Institute-American Bar Association, Litigation Counsel of America, and numerous state bar associations. In addition, he has participated extensively in appellate advocacy through the filing of dozens of amicus curiae briefs in the United States Supreme Court and other appellate courts.

Experience

Kevin has more than three decades of experience litigating complex class actions, antitrust disputes, securities fraud claims, shareholder derivative actions, consumer protection cases, and civil RICO matters. Throughout his career, he has served as lead or co-lead counsel in significant litigation resulting in recoveries exceeding $2 billion. His experience includes trial work in federal and state courts across the country, appellate advocacy before multiple federal circuit courts and the United States Supreme Court, and expert witness testimony in both civil and criminal matters. He has successfully represented classes involving consumer fraud, financial services, securities litigation, health care disputes, antitrust claims, environmental contamination, product liability, shareholder rights, and racketeering allegations. His appellate experience includes arguing a civil RICO case before the United States Supreme Court in Anza v. Ideal Steel Supply Corp., a decision that established an important standard for proximate causation in civil RICO litigation.

Jeffrey E. Grell

Ted Lyon Law

Jeffrey E. Grell is a nationally recognized commercial litigator, educator, and authority on civil RICO litigation. Currently serving as Special Counsel with Ted B. Lyon & Associates, Jeff has spent more than three decades representing clients in complex commercial disputes involving fraud, racketeering, deceptive trade practices, business torts, consumer fraud, class actions, and other sophisticated litigation matters. Widely known for his extensive work under the Racketeer Influenced and Corrupt Organizations (RICO) Act, he has prosecuted and defended civil RICO claims since 1990 and is the author of Grell on RICO, a leading resource developed from his years of teaching and practice. Throughout his career, Jeff has combined litigation, government service, legal education, and thought leadership, earning recognition from attorneys, academics, journalists, and business leaders seeking insight into complex racketeering and commercial litigation issues.

Education & Credentials

Jeff graduated magna cum laude from Augustana College with a Bachelor of Arts in Government and International Affairs in 1987 before earning his Juris Doctor, magna cum laude, from Georgetown University Law Center in 1990. He was admitted to practice before the Supreme Court of Minnesota in 1990 and has been admitted to numerous federal courts, including the United States Supreme Court and several federal circuit courts of appeal. His legal career began with private practice at Jones Day, where he worked on significant commercial litigation matters, including litigation arising from the collapse of BCCI.

Recognition & Leadership

Jeff is widely regarded as an authority on civil RICO litigation and has been recognized internationally for his knowledge of racketeering law. His expertise has been sought by major media organizations including The New York Times, The Wall Street Journal, The Washington Post, The Economist, the BBC, NPR, USA Today, Newsweek, and numerous other national and international publications. In addition to his litigation practice, he has played a leadership role in legal education through decades of teaching and scholarship focused on RICO and complex commercial litigation.

Professional Involvement

Jeff has been deeply involved in legal education and professional development throughout his career. From 1999 through 2023, he served as an adjunct professor at the University of Minnesota Law School, where he taught courses on the RICO Act. He currently teaches a RICO course at the Southern Methodist University Dedman School of Law and regularly presents continuing legal education programs on racketeering and commercial litigation topics. He is also the creator of RICOACT.COM and the author of Grell on RICO, resources widely used by attorneys and students seeking guidance on this complex area of law.

Experience

Jeff’s legal career spans private practice, government service, academia, and complex litigation consulting. He began his career at Jones Day before joining Leonard, Street and Deinard, where he became a shareholder and helped develop defenses in significant civil RICO cases, including litigation that reached the United States Supreme Court in Klehr v. A.O. Smith Corp. He later practiced as a solo commercial litigator and RICO consultant before serving as an Assistant Attorney General for the State of Minnesota from 2008 to 2010. Following his government service, he founded Grell Feist PLC, where he represented clients in complex commercial, consumer protection, fraud, and racketeering matters. His experience also includes advising on international business disputes, representing clients in multistate investigations, handling consumer protection enforcement matters, and litigating sophisticated commercial and financial disputes across the country. In 2024, he joined Ted B. Lyon & Associates as Special Counsel, continuing a career focused on high-stakes litigation, appellate advocacy, and RICO-related matters.

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Date / Time: December 11, 2025

  • 1:00 pm – 3:10 pm Eastern
  • 12:00 pm – 2:10 pm Central
  • 11:00 am – 1:10 pm Mountain
  • 10:00 am – 12:10 pm Pacific

Closed-captioning available

2025-12-11 14:00:00

FAQ

Get answers before you ask

Are all CLE programs included with an unlimited pass purchase?

Yes — the Basic Unlimited Pass gives members access to all online live, replay, and on-demand CLEs, excluding only the live conferences. With the Premium Unlimited Pass, members receive access to over 11 multi-day live conferences as well.

Yes — myLawCLE is an officially accredited CLE provider and seeks CLE approval in all 50 states. Our live webinars, on-demand programs, and replays meet or exceed state bar requirements, ensuring your CLE credits are fully recognized wherever you practice.

Yes — after completing the CLE webinar, attendees select their state for CLE credit and fill out an online evaluation form. Once submitted, a CLE certificate is emailed to them and uploaded to their dashboard.

Yes — myLawCLE develops CLE programs meeting all required CLE types, including mental health, ethics, professionalism, technology, substance abuse, and elimination of bias.

myLawCLE maintains all CLE programs in its library for 12 months following the original broadcast date. Attendees can access any program that remains available in the system during this period.

Yes — all of myLawCLE’s programs are originally broadcast live, with a chat box available for attendees to submit questions during the webinar. Additionally, replays and on-demand versions offer email correspondence with the presenters for any follow-up questions.

Expand Your Legal Expertise

Expanding practice
Expand your expertise and grow your client reach with new practice areas.
Live conferences
Join live events with top attorneys and real-world case insights.
Live webinars
Attend expert-led sessions in real time and earn accredited CLE credit from anywhere.
Legal Bootcamps
Deep-dive training programs designed to build advanced, practical legal skills fast.
Expanding practice
Expand your expertise and grow your client reach with new practice areas.
Live conferences
Join live events with top attorneys and real-world case insights.
Live webinars
Attend expert-led sessions in real time and earn accredited CLE credit from anywhere.
Legal Bootcamps
Deep-dive training programs designed to build advanced, practical legal skills fast.

MCLE Credits

Alabama
Pending
Alaska
Approved
Arizona
Approved
Arkansas
Approved
California
Approved
Colorado
Pending
Connecticut
Approved
Delaware
Pending
District of Columbia
No Required
Florida
Approved
Georgia
Pending
Hawaii
Approved
Idaho
Pending
Illinois
Pending
Indiana
Pending
Iowa
Pending
Kansas
Pending
Kentucky
Pending
Louisiana
Pending
Maine
Pending
Maryland
No Required
Massachusetts
No Required
Michigan
No Required
Minnesota
Pending
Mississippi
Pending
Missouri
Approved
Montana
Pending
Nebraska
Pending
Nevada
Pending
New Hampshire
Approved
New Jersey
Approved
New Mexico
Approved
New York
Approved
North Carolina
Pending
North Dakota
Approved
Ohio
Pending
Oklahoma
Pending
Oregon
Pending
Pennsylvania
Approved
Rhode Island
Pending
South Carolina
Pending
South Dakota
No Required
Tennessee
Pending
Texas
Approved
Utah
Pending
Vermont
Approved
Virginia
Not Eligible
Washington
Approved
West Virginia
Pending
Wisconsin
Pending
Wyoming
Pending

Alabama

Requirements

The Alabama State Bar MCLE Commission requires attorneys to complete 12 credits, including 1 ethics, by December 31 of each year. All credits must be reported by February 15 of the following year. A maximum of 12 credits, including 1 ethics credit, may be carried over for 1 year only.  

Formats

  • Attorneys can earn unlimited “live” credit through live seminars, live webcasts, and co-sponsored locations with MyLAWCLE-Alabama approved programs
  • Attorneys are limited to 6 credits per compliance period of “online” programs through MyLAwCLE On-Demand programs