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California attorneys must complete a minimum of 25 credit hours of approved continuing legal education activities every 3 years including at least 4 hours of Ethics, 1 hour of Civility, 1 hour of Technology, 2 hours of Competence and 2 hours of Elimination of Bias. Additionally, at least one of the hours in Elimination of Bias must be an approved Implicit Bias program.
At least 12.5 of the credit hours must be in a "Participatory" format. The remaining hours can be in a self-study format.
**The State Bar of California is implementing changes to the MCLE course requirements effective October 1, 2023. Beginning with the compliance period ending March 29, 2025, licensees will be required to also complete and report compliance on the following new subfields:
Technology in the Practice of Law (one credit)
Civility in the Legal Profession (one credit)
Competence (Increased from one credit to two)
California attorneys may earn all 25 hours with the United Institute for Continuing Legal Education. Our Online and iOS/Android App platforms are automatically deemed participatory and our MP3/MP4 downloaded courses may also be taken in participatory form as well.
California MCLE rules do not allow carryover. Credit for participating in a CLE activity may not be earned forward from one compliance period to another.
Members are required to comply online under “My State Bar Profile” www.calbar.ca.gov by attesting under penalty of perjury that the member has complied with the education requirement or is exempt and the nature of the exemption. Attorneys who are unable to comply online must contact the State Bar’s Member Services Center 888-800-3400.
State Bar of California
180 Howard Street
San Francisco, CA 94105-1639
(t) 415-538-2100
(f) 415-538-2180 mcle.calbar.ca.gov
The 8 Layers of Asset Protection: Building a Coordinated Defense for Client Wealth
United Institute for Continuing Legal Education is a CLE provider accredited by the California State Bar, Provider #15390.
To view our full accreditation details please .
General Credits
1
$29
All Courses Available iOS/Android Web
About This Course
Asset protection requires more than relying on a single legal instrument or creditor exemption. Attorneys must consider how different planning techniques interact to protect client wealth and understand the limitations of each. This program explores eight complementary layers of protection, covering risk management and insurance, entity formation, state and federal creditor safeguards, ownership arrangements, and domestic and offshore asset protection trusts.
Using practical examples, the discussion examines how attorneys can assess potential liabilities, identify gaps in an existing plan, distinguish between inside and outside liability, and determine which strategies best fit a client’s circumstances. The program also addresses ethical obligations and fraudulent transfer restrictions, emphasizing the importance of implementing asset protection measures before claims or creditor issues arise.