Total Continuing Education Credits Nationwide is over 20,000 for CFP®, PACE and State Insurance.

The Course listing below contains all the courses that are available from FinancialCampus.

Note: All courses are not approved for Continuing Education Credits in every state.

If you are purchasing a course for State Insurance Continuing Education Credit, please verify that the course you wish to purchase is available for credit in your state. Click here to go to the "State CE and Designation Requirements" page, select your state or designation from the dropdown boxes or state map and a list of the courses we offer that are available for Continuing Education credits in your state will be displayed.

A     B     C     D     E     F     G     H     I     J     K     L     M     N     O     P     Q     R     S     T     U     V     W     X     Y     Z    
 Course Name view by course code  Course #
"State Required" Kentucky Ethics 1217
1031 Exchanges Mutual Fund Switching 188
1035 Exchanges - Insurance/Annuity Tax Free Exchanges 187
401k Plans 163
403(b) Plans 1325
A  
ADA and Insurance 280
Advanced Applications of Health Insurance 218
Affordable - Annuity 2004 California CE 1338
Affordable - Annuity Four Hour California CE 1336
Affordable-California Long Term Care-LTC 2004 420
AML: Customer Identification Programs for Broker/Dealers 1307
AML: Customer Identification Programs for Mutual Funds 1308
AML: Office of Foreign Assets Control (OFAC) and Domestic Finance Rules and Regulations 1302
AML: Reporting Requirements for Financial Institutions 1306
AML: Reporting Suspicious Activity 1304
AML: Supervisory: Anti-Money Laundering 1305
AML: Urgent Issues 1303
Annuities 168
Annuities: 1035 Exchanges - Insurance/Annuity Tax Free Exchanges 1333
Annuities: Indexed Annuities 1334
Annuities: Introduction 1330
Annuities: Supervision: Sales Supervision for Variable Annuities 1335
Annuities: Understanding Variable Annuities 1331
Annuities: Variable Annuities and Suitability 1332
Anti-Money Laundering 167
Anti-Money Laundering and the USA PATRIOT Act 1301
Anti-Money Laundering Fundamentals and Life Insurance 881329
Applied Ethics in Today's Marketplace 1327
Asset Allocation and Mutual Fund Investing 136
Asset-Backed Securities 198
B  
Beyond Insurance (Affordable, Inc.) 402
Brokered CDs 183
Business Conduct of Registered Representatives 154
Business Insurance Training Course 202
Business Owners' and Farm Owners' Coverages 265
Business Practices of Investment Advisers 124
C  
California - Property/Casualty Primer & Practices 404
Charitable Gift Giving 211
Charitable Remainder Trusts 171
Client Account Maintenance in a Series 7 Broker/Dealer 130
Client Account Procedures 118
Commercial Auto Exposures and Coverage 245
Commercial Cause of Loss Forms 268
Commercial Inland Marine Coverages 275
Commercial Liability Insurance 220
Commercial Property and Liability Exposures 259
Commercial Property Insurance 221
Commercial Property, Liability and Package Coverages 222
Communications with the Public 151
Computers and Insurance 255
Concepts of Legal Liability & Commercial Liability Coverage 273
Concepts of Voluntary Employee Beneficiary Association Plans 283
Corporate Financial Analysis 108
Crime and Theft Insurance 253
Current Issues 2005: Mutual Funds: Share Classes and Trading Issues 1323
Customer Accounts, Trade and Settlement Practices of Securities 155
D  
Derivatives, Index Options and Futures Contracts 132
Designing Individual Portfolios and Asset Allocation 134
Direct Participation Investments 115
Direct Participation Programs 213
Discount Brokerage 164
E  
E-Commerce Insurance 267
Electronic Communications within the Financial Services Regulatory Environment 881330
Errors and Omissions Insurance 285
Estate Planning Training Course 203
Ethical Insurance Representation 881332
Ethics 239
Ethics and Insurance 201
Ethics and Securities Transactions 157
Ethics for Agents 410
Ethics in the Securities Industry 160
Ethics-CFP® 226
F  
Federal and State Securities Regulations 105
Financial Planning Strategies 236
Fundamentals of Financial Analysis 881333
G  
General Insurance Concepts 261
General Securities and Suitability 140
Georgia Ethics 1210
Global Capital Markets 197
Global Insurance 209
Government Economic Policy and World Markets 133
H  
Handling Customer Accounts 153
Hedge Funds: Overview 881334
Hedge Funds: Types and Characteristics 881335
Homeowners' Insurance 243
How New Issues Are Brought to the Market 111
How to Read and Understand the Financial Pages 129
I  
Indexed Annuities 169
Individual Registration and Reporting Requirements 150
Insider Trading Regulations 120
Institutional Investing 190
Institutional Market Maker Rules (OTC) 193
Institutional Trading Regulatory Requirements 191
Institutional Trading Rules 192
Insurance Contracts and Other Legal Concepts 276
Insurance For Watercraft 262
Insurance Management and Business Principles 217
Insurance Operations 205
Internet and Email Communication Rules 173
Introduction to Investments and Personal Financial Planning 215
Investment Adviser Rules and Regulations 121
Investment Advisor Requirements and the Uniform Securities Act 123
Investment Product Compliance Requirements 143
Investment Products and Risk Tolerance 142
Investment Risk & Portfolio Analysis 109
Investment Securities 125
IRAs and SIMPLE Plans 162
L  
Life Accident Health Licensing Preparation Course 301
Limited Partnerships and Suitability 141
Listed Exchanges and Their Operations 104
Long-Term Care 229
M  
Macro Economic & Technical Market Analysis 112
Margin Accounts and Their Operation 114
Market Timing - A Primer 135
Marketing to Seniors - Regulatory Issues 881338
Mastering Non-Can Disability Insurance 230
Measuring A Fund Manager's Performance 264
Mergers and Acquisitions 181
MF: Asset Allocation and Mutual Fund Investing 1313
MF: Current Issues 1314
MF: Customer Identification Programs for Mutual Funds 1315
MF: Mutual Fund Analysis 1311
MF: Mutual Fund Basics 1319
MF: Mutual Fund Breakpoints 1321
MF: Mutual Fund Pricing 1318
MF: Mutual Fund Switching 1320
MF: Mutual Funds and Suitability 1317
MF: Mutual Funds: An Introduction 1312
MF: Rules That Govern Mutual Funds 1316
MF: Sales Supervision of a Mutual Fund Broker/Dealer 1310
Modern Portfolio Theory 158
Money Management & Wrap Accounts 172
Multi Generational Asset Planning 238
Municipal Bonds 110
Mutual Fund Analysis 184
Mutual Fund Basics 145
Mutual Fund Breakpoints 182
Mutual Fund Case Studies 1322
Mutual Funds and Suitability 139
N  
NASD Compliance - An Overview 122
NASD Member Regulations 106
NASDAQ Trading Rules 194
Nebraska Ethics 1227
New and Secondary Securities Offerings 156
New Derivative and Synthetic Investments 144
NYSE Rules 107
O  
Oklahoma Ethics 1235
Options 113
Oregon Law 1237
Orientation to Property/Casualty Insurance 269
Other Miscellaneous Personal Lines Policies 256
Over the Counter Securities Markets 101
P  
Personal Auto Insurance Coverages 244
Personal Insurance Planning 216
Personal Lines 304
Planning for Retirement 208
Professional Liability Coverages 270
Property & Casualty Compendium 305
R  
Real Estate Investment Trusts - REITS 146
Regulatory Element Prep Modules 147
Research Analysts - The Conflict of Interest Problem 199
Retirement Planning Training Course 204
Risk Management 232
Risk Management and Loss Exposures 258
Roth 401(k) Plans 1326
Rule 2821 Deferred Variable Annuities 881345
Rules That Govern Mutual Funds 116
S  
Sales Supervision of a Mutual Fund Broker/Dealer 119
Sales Supervision of Series 7 Brokers 128
Section 20 Banks - Compliance 161
Securities Registration and Reporting Requirements 117
Selected Commercial Property Coverages 263
Selling Straight: Managing Ethical Decision Making 214
Series 22 322
Series 24 324
Series 26 326
Series 6 306
Series 63 363
Series 65 365
Series 66 366
Series 7 307
Series 72 372
Set Up and Maintenance of Client Accounts 103
Split Dollar Business Insurance 277
Stock Analysis 281
Structured Products 881337
Suitability Issues and Securities Sales 152
Supervising the Electronic Communications of Financial Services Representatives 881331
Supervision of Trading and Market Making Activities 126
Supervision: Anti-Money Laundering: Supervisory Course 1342
Supervision: Insider Trading 1343
Supervision: Sales Supervision of a Mutual Fund Broker/Dealer 1341
Supervisory Regulatory Element Training Course 148
Supervisory: Anti-Money Laundering 177
Supervisory: Communications with the Public & Supervision 179
Supervisory: Insider Trading & Supervision 174
Supervisory: Interviewing, Hiring & Firing Registered Reps 178
Supervisory: Office & Representative Supervision 175
Supervisory: Suitability & Supervision 176
Suretyship, Bonds and Crime Insurance Issues 252
T  
Target Marketing and the Registered Representative 159
Tax Consequences of Securities Transactions 102
Texas Insurance Regulations and Ethics 1243
The Influence of Insurance on Society and Government 278
The Living Trust 207
The USA PATRIOT Act 189
The Use of Annuities in the Marketplace 282
Time Element Coverages 271
Time Element Insurance 210
Total Insurance Planning 235
Total Personal Financial Planning 240
U  
Unauthorized Entities 400
Understanding Group Insurance & Social Security 206
Understanding Medicare and Medicaid 1328
Understanding Section 529 Plans 180
Understanding Variable Annuities 131
Underwriting Insurance Policies 284
Unit Investment Trusts (UIT) 165
Urgent Issues 2005: Anti-Money Laundering: Identifying Red Flags and Reporting Suspicious Activity 1324
Urgent Issues 2008: Anti-Money Laundering 881336
Utah Ethics 1244
V  
Variable Annuities and Suitability 138
Variable Life Insurance and Suitability 137
Variable Products 149
W  
Workers' Compensation Insurance 251