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Derivatives, Digital Assets, and AI in Financial Markets

The regulatory perimeter for derivatives, digital assets, and AI is being redrawn in real time. Learn to classify digital assets, apply the swaps framework to emerging products, and build a practical roadmap for AI governance, documentation, and regulatory engagement.

2026-09-11 12:00:00

Program Details

2026-09-11 12:00:00

2026-09-11 12:00:00

2h CLE Credits

2026-09-11 12:00:00

Program Details

2026-09-11 12:00:00

Program Details

2026-09-11 12:00:00

Over 1,000+ webinars

2026-09-11 12:00:00

Course Overview

The same digital asset can be a security, a commodity, or a derivative — and Congress may soon change the answer.

2026-09-11 12:00:00

Comprehensive digital asset market structure legislation is before Congress, and the CFTC and SEC are actively realigning their jurisdictional approaches. At the same time, artificial intelligence is moving into trading, derivatives, compliance, and risk management faster than the frameworks written for human decision-making.

Classification drives everything that follows. Treat a token as a security and the securities laws attach. Treat it as a commodity or derivative and the swaps regulatory framework applies, with compliance obligations for swap dealers and other market participants. Deploy AI in a regulated environment and supervision, recordkeeping, and explainability expectations follow — along with liability for inaccurate outputs and third-party reliance on LLM providers.

Attendees walk away able to assess regulatory status, structure products and activities, and address compliance considerations across both regimes — plus a practical roadmap for AI governance, documentation, and regulatory engagement, built on the practitioner judgment no automated tool provides.

Format

CLE Credit

2h CLE Credits

Level

Intermediate

Length

2

Key topics that will be covered

01
Jurisdiction and Classification
How classifying a digital asset as a security, commodity, or derivative decides CFTC or SEC jurisdiction — and how pending market structure legislation and SEC-CFTC harmonization initiatives could redraw those lines.
02
Swaps Framework Obligations
When digital asset derivatives trigger the swaps regulatory framework — and which key compliance obligations follow for swap dealers and other derivatives market participants.
03
Enforcement and Structuring
Where regulatory and enforcement developments are moving digital asset markets — and the practical issues counsel face structuring and advising on emerging financial products.
04
AI Under Existing Rules
How existing rules — the CEA, securities laws, and supervision requirements — map onto AIdriven trading, advice, and compliance across financial markets.
05
AI Governance Expectations
What regulators expect on governance, human oversight, recordkeeping, and explainability when supervising AI systems inside regulated financial institutions.
06
AI Liability and Vendors
Where AI liability concentrates — model risk, inaccurate outputs, and third-party reliance on LLM providers — and the practical considerations for counsel advising on AI deployment.

Program schedule

clock 12:00 pm - 1:00 pm EST

The Evolving Regulatory Framework for Derivatives and Digital Assets

With comprehensive digital asset market structure legislation before Congress, and the CFTC and SEC actively realigning their jurisdictional approaches, the regulatory perimeter for derivatives and digital assets is being redrawn in real time. This session examines the regulatory framework governing derivatives, futures, commodities, and digital assets as financial products and marketplaces continue to evolve. Drawing on current developments in derivatives regulation and digital asset markets, the session will address the respective roles of the CFTC, SEC, banking regulators, and other authorities, including jurisdictional questions that arise when traditional financial products intersect with cryptocurrencies and blockchain-based instruments. Attorneys will also explore how market participants can assess regulatory status, structure products and activities, and address compliance considerations as the boundaries between traditional derivatives and emerging digital assets continue to develop.

Gary E. KalbaughGary E. Kalbaugh
David SchwedDavid Schwed
clock 1:10 pm - 2:10 pm EST

AI in Financial Markets: Derivatives, Trading, Compliance, and Regulatory Risk

This session focuses on the rapidly expanding use of artificial intelligence in financial markets and the legal and regulatory issues created when AI is incorporated into trading, derivatives, compliance, risk management, and financial products. Attorneys will examine how existing regulatory frameworks apply to AI-enabled financial activity, where traditional rules may not adequately address emerging technologies, and the potential liability and compliance challenges created by automated decision-making and large language models. The session will also consider regulatory expectations, governance and oversight, explainability, data and model risks, and practical issues for financial institutions deploying AI in regulated environments. Attendees will leave with a practical roadmap for AI governance, documentation, and regulatory engagement.

Gary E. KalbaughGary E. Kalbaugh
David SchwedDavid Schwed
Gary E. Kalbaugh

Gary E. Kalbaugh

Cahill Gordon & Reindel LLP

David Schwed

David Schwed

SVRN

Gary E. Kalbaugh

Gary E. Kalbaugh

Cahill Gordon & Reindel LLP

Gary E. Kalbaugh is a partner in the New York office of Cahill Gordon & Reindel LLP and a nationally recognized leader in commodities, futures, and derivatives law. His practice spans commodities, futures and derivatives, digital assets and emerging technology, and capital markets, and he serves as Special Professor of Law at the Maurice A. Deane School of Law at Hofstra University.

Education & Credentials

Mr. Kalbaugh earned his LL.M. from the University of Pennsylvania in 1999 and his Bachelor of Civil Laws, with honors, from the National University of Ireland in 1998. He is admitted to practice in New York.

Recognition & Leadership

Mr. Kalbaugh serves as Co-Chair of the Artificial Intelligence Workstream of the Commodity Futures Trading Commission’s Future of Finance Committee (2024–present) and previously chaired the New York City Bar Association’s Futures and Derivatives Regulation Committee (2018–2021). He is the author of Derivatives Law and Regulation (3rd ed. 2021), serves as Editor-in-Chief of the Futures and Derivatives Law Report, and co-chaired the American Bar Association’s Artificial Intelligence and Derivatives Market conference.

Professional Involvement

His current and recent committee service includes the Federalist Society’s Financial Services Executive Committee (2021–present) and the Institute of International Bankers’ Legislative and Regulatory Policy Committee (2011–2025). He has written multiple peer-reviewed articles on derivatives, virtual currency, and regulatory topics, and is a proficient coder and application developer in Python and other languages.

Experience

Before joining Cahill, Mr. Kalbaugh served as Deputy General Counsel and Director at ING, held senior roles at WestLB — including executive director, counsel, and chief U.S. data protection officer — and practiced as an associate at an international law firm. He teaches derivatives law and banking law at Hofstra University and previously served as a lecturer-in-law at Columbia Law School.
David Schwed

David Schwed

SVRN

David Schwed is the Chief Operating Officer of SVRN and a veteran security and technology executive in digital assets and financial services. His career spans senior leadership roles at Robinhood, BNY Mellon, Galaxy, and Halborn, and his commentary has appeared in Bloomberg, BBC, Fortune, CNBC, and Nasdaq.

Education & Credentials

Mr. Schwed holds a J.D. from the Maurice A. Deane School of Law at Hofstra University.

Recognition & Leadership

Mr. Schwed chairs the Cybersecurity Industry Advisory Board at Yeshiva University’s Katz School of Science and Health, where he also serves as Practitioner in Residence and previously served as professor and founding director of the university’s cybersecurity master’s degree program (2019–2021). He has spoken at more than 350 conferences on security, digital assets, and emerging technology.

Professional Involvement

He serves as a board director at Catholic Guardian Services and the Disaster Accountability Project, advises Dfns, a digital wallet service, and is an early-stage investor in blockchain and fintech startups. His expertise spans blockchain and DLT security, digital asset and DeFi security, cybersecurity and technology risk management, regulatory compliance, and expert witness engagements.

Experience

Before SVRN, Mr. Schwed served as Chief Information Security Officer, Brokerage & Money, at Robinhood (2024–2025); Chief Operating Officer at Halborn (2022–2024); Global Head of Digital Assets Technology at BNY Mellon (2021–2022); Chief Information Officer at RTI Cable (2019–2021); and Managing Director and Chief Information Security Officer at Galaxy (2018–2019). Earlier, he co-founded MASS Communications — serving as general counsel and chief information officer until its acquisition by Windstream — served as Vice President of Enterprise Threat Management at BNY Mellon (2006–2011), and held earlier roles at Grant Thornton, Citigroup, Marsh McLennan, Merrill Lynch, and Citicorp.
Gary E. Kalbaugh

Gary E. Kalbaugh

Cahill Gordon & Reindel LLP

Gary E. Kalbaugh is a partner in the New York office of Cahill Gordon & Reindel LLP and a nationally recognized leader in commodities, futures, and derivatives law. His practice spans commodities, futures and derivatives, digital assets and emerging technology, and capital markets, and he serves as Special Professor of Law at the Maurice A. Deane School of Law at Hofstra University.

Education & Credentials

Mr. Kalbaugh earned his LL.M. from the University of Pennsylvania in 1999 and his Bachelor of Civil Laws, with honors, from the National University of Ireland in 1998. He is admitted to practice in New York.

Recognition & Leadership

Mr. Kalbaugh serves as Co-Chair of the Artificial Intelligence Workstream of the Commodity Futures Trading Commission’s Future of Finance Committee (2024–present) and previously chaired the New York City Bar Association’s Futures and Derivatives Regulation Committee (2018–2021). He is the author of Derivatives Law and Regulation (3rd ed. 2021), serves as Editor-in-Chief of the Futures and Derivatives Law Report, and co-chaired the American Bar Association’s Artificial Intelligence and Derivatives Market conference.

Professional Involvement

His current and recent committee service includes the Federalist Society’s Financial Services Executive Committee (2021–present) and the Institute of International Bankers’ Legislative and Regulatory Policy Committee (2011–2025). He has written multiple peer-reviewed articles on derivatives, virtual currency, and regulatory topics, and is a proficient coder and application developer in Python and other languages.

Experience

Before joining Cahill, Mr. Kalbaugh served as Deputy General Counsel and Director at ING, held senior roles at WestLB — including executive director, counsel, and chief U.S. data protection officer — and practiced as an associate at an international law firm. He teaches derivatives law and banking law at Hofstra University and previously served as a lecturer-in-law at Columbia Law School.
David Schwed

David Schwed

SVRN

David Schwed is the Chief Operating Officer of SVRN and a veteran security and technology executive in digital assets and financial services. His career spans senior leadership roles at Robinhood, BNY Mellon, Galaxy, and Halborn, and his commentary has appeared in Bloomberg, BBC, Fortune, CNBC, and Nasdaq.

Education & Credentials

Mr. Schwed holds a J.D. from the Maurice A. Deane School of Law at Hofstra University.

Recognition & Leadership

Mr. Schwed chairs the Cybersecurity Industry Advisory Board at Yeshiva University’s Katz School of Science and Health, where he also serves as Practitioner in Residence and previously served as professor and founding director of the university’s cybersecurity master’s degree program (2019–2021). He has spoken at more than 350 conferences on security, digital assets, and emerging technology.

Professional Involvement

He serves as a board director at Catholic Guardian Services and the Disaster Accountability Project, advises Dfns, a digital wallet service, and is an early-stage investor in blockchain and fintech startups. His expertise spans blockchain and DLT security, digital asset and DeFi security, cybersecurity and technology risk management, regulatory compliance, and expert witness engagements.

Experience

Before SVRN, Mr. Schwed served as Chief Information Security Officer, Brokerage & Money, at Robinhood (2024–2025); Chief Operating Officer at Halborn (2022–2024); Global Head of Digital Assets Technology at BNY Mellon (2021–2022); Chief Information Officer at RTI Cable (2019–2021); and Managing Director and Chief Information Security Officer at Galaxy (2018–2019). Earlier, he co-founded MASS Communications — serving as general counsel and chief information officer until its acquisition by Windstream — served as Vice President of Enterprise Threat Management at BNY Mellon (2006–2011), and held earlier roles at Grant Thornton, Citigroup, Marsh McLennan, Merrill Lynch, and Citicorp.

Credits by state

AK2.0
AL2.0
AR2.0
AZ2.0
CA2.0
CO2.0
CT2.0
DC2.0
DE2.0
FL2.0
GA2.0
HI2.0
IA2.0
ID2.0
IL2.0
IN2.0
KS2.0
KY2.0
LA2.0
MA2.0
MD2.0
ME2.0
MI2.0
MN2.0
MO2.4
MS2.0
MT2.0
NC2.0
ND2.0
NE2.0
NH120.0
NJ2.0
NM2.0
NV2.0
NY2.0
OH2.0
OK2.5
OR2.0
PA2.0
RI2.5
SC2.0
SD2.0
TN2.0
TX2.0
UT2.0
VA2.0
VT2.0
WA2.0
WI2.0
WV2.4
WY2.0

1000+

Live stream programs

24/7

Access to live webinars & recordings

70,000+

Trusted by Legal Professionals

1000+

Live stream programs

24/7

Access to live webinars & recordings

70,000+

Trusted by Legal Professionals

1000+

Live stream programs

24/7

Access to live webinars & recordings

10,000+

Trusted by Legal Professionals

1000+

Live stream programs

24/7

Access to live webinars & recordings

70,000+

Trusted by Legal Professionals

MCLE Credits

Alabama
Approved
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
Approved
Oklahoma
Pending
Oregon
Pending
Pennsylvania
Approved
Rhode Island
Pending
South Carolina
Pending
South Dakota
No Required
Tennessee
Approved
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