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Insurance and Securities Training
and Certification

Develop Point Education and Testeachers is proud to be your pre-license course provider. We are certain that you will be pleased with our course offering, and the study options we make available. Our goal is to provide you the information you need in order to pass your state exam on your first attempt!

Depending on availability, some state course offerings are provided by our education partner TesTeachers.com. Content includes on-demand streaming and downloadable video lectures, online study manuals, course learning guides, and interactive content-specific exam questions.

In order to assist you in your licensing quest, our highly trained service representatives are available to answer any course or exam-specific questions you may have. Our desire is to help you stay on track in meeting your licensing goals!

Please click on the Insurance Licensing or appropriate FINRA Securities links below in order to gain instant access to your desired state courses, and to see detailed information on the learning materials we provide.

We wish you the best of luck in your studies, and on your state licensing exam.
We know you can pass!
There is a reason that in order to sell auto, health and life insurance you need to have a license. Its complicated. Its more than just trying to get the right price. The job of an insurance broker is to analyze your company and expose potential risks. There might be real risks that you never thought about. Life happens and you want to make sure that you are prepared for unforeseen circumstances. The primary benefit of using an insurance broker or broker is that they know what they’re doing. Like any business, there is more to it than what meets the eye.
Online Securities License Training
See below online courses and click on the title for more information
Series 6
Mutual Funds / Variable
Products
The Series 6 test is the same in every state and allows a person to sell primary issues of mutual funds, variable insurance and variable annuities. The Series 6 exam has 100 questions, a 2 hour and 15 minute time limit...



Series 65
Uniform Investment
Advisor Law Exam
The Series 65 exam is the same in every state and allows a person to charge a fee for giving investment advice. This license will not allow you to sell securities. The Series 65 exam has 130 questions,...


Series 26
Investment Company
Principal
The Series 26 exam is the same in every state and is for managers looking to supervise sales activities for Investment Companies and Annuities activities. The Series 26 exam has 110 questions, a 2 hour time 30 minute limit...
Series 7
General Securities
Representative
The Series 7 exam has 250 questions (given in two 125 question parts), a 6 hour time limit (broken into two 3 hour parts) and a 72% passing grade. Some states also require a person holding this license to obtain a Series 63
Series 66
Uniform Combined
State Law Exam

The Series 66 examination is the same in every state and allows a person to charge a fee for giving investment advice and a commission for securities sold. You must hold a Series 7 license to hold this license.


Click on the series number you would like more
information on

Series 63
Uniform Securities act
This Series 63 exam is the same in every state and is required by some states to activate a Series 6 license. The Series 63 exam has 65 questions, a 1 hour and 15 minute time limit and a 72% passing grade...

Series 24
Investment
Company Principal
The Series 24 exam is the same in every state and is for managers looking to supervise sales activities for General Securities (Series 7) licensed registered representatives. The Series 24 exam has 150 questions,...



Series 53
Municipal Securities
Principal
The Series 53 exam is the same in every state and is for managers looking to supervise sales activities for Municipal Securities. The Series 53 exam has 100 questions, a 3 hour time limit and a 70% passing grade. In order to obtain...