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  1. LII
  2. State Regulations
  3. Rhode Island Administrative Code
  4. Title 230 - Department of Business Regulation
  5. Chapter 50 - Securities, Franchises and Charities
  6. Subchapter 05 - Securities
  7. Part 1 - Pre-Licensing Requirements (230-RICR-50-05-1)

Part 1 - Pre-Licensing Requirements (230-RICR-50-05-1)

  • State Regulations
  • Compare
  1. § 230-RICR-50-05-1.1 - Authority
  2. § 230-RICR-50-05-1.2 - Purpose
  3. § 230-RICR-50-05-1.3 - Severability Provisions
  4. § 230-RICR-50-05-1.4 - Definitions
  5. § 230-RICR-50-05-1.5 - Broker-Dealer Exemptions
  6. § 230-RICR-50-05-1.6 - Exempt Investment Adviser Representatives
  7. § 230-RICR-50-05-1.7 - Exemption of Certain Broker-Dealers, Investment Advisers, and Sales Representatives Using the Internet for General Dissemination of Information on Products and Services
  8. § 230-RICR-50-05-1.8 - Registration Exemption for Investment Advisers to Private Funds
  9. § 230-RICR-50-05-1.9 - Licensing Applications
  10. § 230-RICR-50-05-1.10 - Multiple Licensing of Sales Representatives
  11. § 230-RICR-50-05-1.11 - Multiple Licensing of Investment Advisers
  12. § 230-RICR-50-05-1.12 - Multiple Licensing of Sales Representatives and Investment Advisers with Unaffiliated Firms
  13. § 230-RICR-50-05-1.13 - Examinations
  14. § 230-RICR-50-05-1.14 - Minimum Net Capital
  15. § 230-RICR-50-05-1.15 - Broker-Dealer Bond

State regulations are updated quarterly; we currently have two versions available. Below is a comparison between our most recent version and the prior quarterly release. More comparison features will be added as we have more versions to compare.


No prior version found.

State Regulations Toolbox



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