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DOL Fiduciary Rule Education

DOL Fiduciary Rule Education

DOL Professional Standards Course

How Will the DOL Rule Impact You?
Learn What You Need to Navigate the DOL Fiduciary Ruling

The expert retirement income planning faculty at The American College of Financial Services closely monitors the evolution of the DOL fiduciary ruling and how it will affect the financial services profession.

The DOL Professional Standards Course teaches advisors, planners, broker-dealers, and other affected professionals how to navigate this new regulatory environment.

 A multi-part, online course with assessments. Open to anyone with a professional interest in learning how to navigate the critical issues surrounding the DOL fiduciary ruling, including:

  • Application of the ruling and types of retirement-income advice affected
  • In-depth discussion of exclusions and exemptions, including BICE and PTE 84-24
  • Impacts the ruling has on specific industry groups, including life insurance agents, broker-dealers, RIAs, experienced and young professionals, and more
  • How compensation models and fees are affected
  • What will happen with robo-advisors in this new environment
  • The impact the ruling has on consumers, including high-net-worth clients


Completion of this course will satisfy the ethics requirement of the Financial Services Certified Professional® (FSCP®) designation.
This course is not currently eligible for state-approved continuing education credits.

DOL Professional Standards Course — $498 


Refund Policy
You may cancel your enrollment in the Professional Standards Course within seven days of purchase, minus a cancellation fee of $170.

To enroll, please call 888-263-7265