Part II
Licensing of Broker-Dealers, Sales Representatives, and Investment Advisers and Investment Adviser Representatives

Index of Sections

§ 7-11-201. Broker-dealer and sales representative licensing.

§ 7-11-202. Exempt broker-dealers and sales representatives.

§ 7-11-203. Investment adviser and investment adviser representative licensing.

§ 7-11-204. Exempt investment advisers and investment adviser representatives.

§ 7-11-205. Application.

§ 7-11-206. Licensing and notice fees; and filing requirements for federal covered advisers.

§ 7-11-207. Examinations.

§ 7-11-208. Licensing.

§ 7-11-209. Post-licensing requirements.

§ 7-11-210. Licensing of successor firms.

§ 7-11-211. Inspection power.

§ 7-11-212. Grounds for denial, suspension, and revocation.

§ 7-11-213. Denial, suspension, or revocation on grounds of lack of qualification.

§ 7-11-214. Withdrawal.

§ 7-11-215. Custody of clients’ securities and funds.