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Mutual of Omaha sponsors a professional liability (errors and omissions) insurance program for its agents and brokers. This program is administered by Marcotte Insurance Agency and is underwritten by Westport Insurance Corp.
Click on the links below to reveal more information. |
What is Errors and Omissions Coverage?
Coverage Underwritten By a Leader
Eligibility
Coverage Summary
Annual Premium Schedule
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If you would like to enroll in the Professional Liability (Errors and Omissions) Insurance Program, please refer to the following schedule for the premium amount appropriate for: |
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your state of residence, and |
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the month your coverage is to be effective. |
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Then, you may apply for coverage using our convenient online Brokers E & O Enrollment Form.
Note: All premiums are fully earned when paid. No refund is paid in the event of cancellation.
Premium for All States Except Alabama, Alaska, California, Louisiana and Texas |
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Individual Brokers: $1,035.00 |
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Month Effective |
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Pro-Rated Premium |
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October |
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1,035.00 |
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November |
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946.00 |
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December |
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860.00 |
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January |
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774.00 |
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February |
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688.00 |
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March |
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602.00 |
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April |
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516.00 |
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May |
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430.00 |
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June |
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344.00 |
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July |
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258.00 |
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August* |
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172.00 |
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September* |
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86.00 |
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* Plus annual renewal. Contact our Program Administrator, Dennis Smith. |
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Alabama, Alaska, California, Louisiana and Texas |
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Individual Brokers: $1,202.00 |
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Month Effective |
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Pro-Rated Premium |
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October |
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1,202.00 |
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November |
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1,100.00 |
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December |
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1,000.00 |
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January |
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900.00 |
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February |
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800.00 |
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March |
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700.00 |
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April |
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600.00 |
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May |
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500.00 |
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June |
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400.00 |
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July |
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300.00 |
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August* |
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200.00 |
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September* |
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100.00 |
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* Plus annual renewal. Contact our Program Administrator, Dennis Smith.
Note: If a claim for benefits is submitted and you do not meet the eligibility requirements (licensed, and contracted with Mutual), you will receive only a return of premium. |
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Registered Representatives of and Securities offered through QA3 Financial Corp., Member FINRA www.finra.org /SIPC, Investment Advisor.
Representative of and Advisory Services offered through QA3 Financial, LLC, an SEC Registered Investment Advisor
Bob Foster is licensed to sell Securities and Insurance in the following states: AZ, NE, IA, FL, MN, MO, SD, RI, CO, MS, SC, TX
Joe John is licensed to sell Securities and Insurance in the following states: AZ, NE, IA, IL, KS, MD, MS, OK, UT, WY, SD, CO, MO
Derek Bailey is licensed to sell Securities and Insurance in the following states: NE |
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