Live Webinar

90-minute live streaming program
  • May 16
  • 1:00 - 2:30 pm EST

Financial Planning Code of Ethics

May 16

Gain the knowledge and insights needed to navigate ethical challenges confidently and uphold the highest standards of integrity in your practice.

In a world where trust is paramount and financial security is a universal pursuit, the cornerstone of responsible financial planning lies in adhering to a robust code of ethics. Embark on a transformative exploration of ethical standards that underpin every facet of financial planning. From fiduciary responsibilities to client confidentiality, this webinar illuminates the ethical imperatives that safeguard both client interests and professional integrity. Discover the profound impact of ethical decision-making on long-term client relationships, regulatory compliance, and the overarching reputation of the financial advisory profession. Whether you’re a seasoned advisor or an aspiring professional, this webinar promises to equip you with the knowledge and insights needed to navigate ethical challenges confidently and uphold the highest standards of integrity in your practice.

Learning Objectives

  • You will be able to discuss the significance of the fiduciary duty in financial planning and how it mandates advisors to prioritize client interests above all else.
  • You will be able to identify best practices for handling sensitive information ethically, ensuring the utmost discretion and protection of client data.
  • You will be able to describe the essence of transparency in financial planning, including the obligation to provide clients with clear, comprehensive information about services, fees, and potential conflicts of interest.
  • You will be able to explain ethical frameworks and practical strategies for resolving conflicts ethically, maintaining professional integrity, and upholding the credibility of the financial planning profession.

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Why Lorman?

Over 37 years and 1.4 million customers worth of experience providing continuing education. Our passion is providing you world-class training to help you succeed in business and as a professional.

Agenda

Fiduciary Duty and Client-Centric Approach
  • The Significance of the Fiduciary Duty in Financial Planning
  • Strategies to Uphold a Client-Centric Approach
Confidentiality and Privacy Safeguards:
  • Maintaining Confidentiality and Preserving Client Privacy in Financial Planning Engagements
  • Best Practices for Handling Sensitive Information Ethically
Transparency and Full Disclosure:
  • The Essence of Transparency in Financial Planning
  • The Nuances of Full Disclosure and Its Role
Professional Integrity and Ethical Decision-Making
  • Insights Into the Ethical Dilemmas That Financial Planners Encounter
  • Ethical Frameworks and Practical Strategies for Resolving Conflicts Ethically
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Why Lorman?

Over 37 years and 1.4 million customers worth of experience providing continuing education. Our passion is providing you world-class training to help you succeed in business and as a professional.

Credits

Live Webinar Registration

  • AR CLE 1.5
     
  • This course has been approved for 1.5 hours of CLE by the Arkansas CLE Board.
     
  • Arizona CLE 1.5
     
  • The State Bar of Arizona does not approve or accredit CLE activities for the Mandatory Continuing Legal Education requirement. This activity may qualify for up to 1.5 hours toward your annual CLE requirement for the State Bar of Arizona.
     
  • CA MCLE 1.5
     
  • Lorman Business Center, LLC. is a State Bar of California approved MCLE sponsor and this course qualifies for 1.5 CLE hours of participatory credit.
     
  • CT CLE 1.5
     
  • Neither the Connecticut Judicial Branch nor the Commission on Minimum Continuing Legal Education approve or accredit CLE providers or activities. This course has been approved for CLE credit in jurisdictions aside from CT and therefore it automatically meets the content and delivery requirements in Connecticut. Credit is based on a 60 minute credit hour and shall be awarded as follows: 1.5 CLE credit(s).
     
  • HI CLE 1.5
     
  • This program was approved by the Hawaii State Board of Continuing Legal Education for 1.5 VCLE credit hours.
     
  • IN CLE 1.5 (Pending)
     
  • This program has been submitted to the Indiana Commission for Continuing Legal Education for Distance Education for participating attorneys. Application Pending.
     
  • MO CLE 1.8
     
  • This program has been approved by the Missouri Bar for 1.8 hours of CLE.
     
  • NH MCLE 1.5
     
  • NH MCLE does not approve or accredit CLE activities for the NH Minimum CLE requirement. Lorman Education Services believes this course meets the requirement of NH Supreme Court Rule 53 and may qualify for CLE credit(s). Program Length: 90 Minutes.
     
  • NJ CLE 1.8
     
  • This program has been approved by the Board on Continuing Legal Education of the Supreme Court of New Jersey for 1.8 hours of total CLE credit.
     
  • NV CLE 1.5
     
  • This program has been approved by the Nevada Board of Continuing Legal Education for 1.5 CLE hours.
     
  • OH CLE 1.5 (Pending)
     
  • This course has been submitted to the Supreme Court of Ohio Commission on Continuing Legal Education for 1.5 CLE hours. Approval pending.
     
  • PA CLE 1.5
     
  • This program has been approved by the Pennsylvania Continuing Legal Education Board for 1.5 hours of substantive law, practice and procedure CLE credit.
     
  • RI CLE 1.5
     
  • This program has been approved by the Rhode Island Mandatory Continuing Legal Education Commission for 1.5 hours of CLE credit.
     
  • VT CLE 1.5
     
  • This program has been approved by the Mandatory Continuing Legal Education Board of Vermont for 1.5 hours of CLE credit.
     
  • WI CLE 1.5
     
  • This program has been approved by the Board of Bar Examiners for 1.5 hours for use toward the Wisconsin Mandatory CLE requirement.
     
  • WV MCLE 1.8
     
  • This program has been approved by the West Virginia State Bar MCLE Commission for 1.8 MCLE hours.
     
  • CPE 1.8 including Behavioral Ethics 1.8
     
  • Lorman Education Services is registered with the National Association of State Boards of Accountancy (NASBA) as a sponsor of continuing professional education on the National Registry of CPE Sponsors. State boards of accountancy have final authority on the acceptance of individual courses for CPE credit. Complaints regarding registered sponsors may be submitted to the National Registry of CPE Sponsors through its web site: www.nasbaregistry.org. For more information regarding administrative policies such as complaint and refund, please contact our offices at 866-352-9539. CPE Credit: Maximum Credit Hours: 1.8 each session (based on a 50 minute credit hour). You must attend at least 50 minutes to obtain credit. Field of Study: Behavioral Ethics for 1.8 hours. Prerequisite: basic knowledge of DOL Fiduciary Rule. Level of Knowledge: Intermediate. Teaching Method: Seminar/Lecture. Advance Preparation: None. Delivery Method: Group Internet Based. Please refer to the information in this brochure for outline, course content and objectives. Upon completion of this course, you will receive a certificate of attendance. Final approval of a course for CPE credit belongs with each state's regulatory board. Please note: In order to receive CPE credit for this course you MUST use the streaming audio option, as well as enable and complete the required progress checks.
     

Who should attend?

This live webinar is designed for wealth managers, investment brokers, financial planners, stock brokers, estate planners, attorneys, presidents, vice presidents, CPAs, CFPs, and other financial executives.

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Why Lorman?

Over 37 years and 1.4 million customers worth of experience providing continuing education. Our passion is providing you world-class training to help you succeed in business and as a professional.

Faculty

Drew Stevens, Ph.D.

Drew Stevens, Ph.D.

Stevens Performance Group

Dr. Drew Stevens, Ph.D.

  • International financial educator specializing in retirement optimization
  • Works with individuals to transform financial struggles into wealth and lifestyle fulfillment
  • Started career on Wall Street, with extensive experience in financial markets and investments spanning 37 years
  • Expertise in creating holistic retirement plans to maximize income and mitigate risk
  • Author of 15 books, including ‘Understanding Social Security’, and writer of over 5500 articles on financial topics
  • Licensed fiduciary in 7 states, ensuring ethical financial guidance for clients
  • Renowned international keynote speaker, workshop provider, and media host
  • NSSA, AHIP, and IRMAA certified
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Why Lorman?

Over 37 years and 1.4 million customers worth of experience providing continuing education. Our passion is providing you world-class training to help you succeed in business and as a professional.

All of your training, right here at Lorman

All of your training, right here at Lorman.

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Product ID: 411227
Published 2024
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