Subchapter II — Investment Advisers
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- §80b–1 Findings
- §80b–2 Definitions
- §80b–3 Registration of investment advisers
- §80b–3a State and Federal responsibilities
- §80b–4 Reports by investment advisers
- §80b–4a Prevention of misuse of nonpublic information
- §80b–5 Investment advisory contracts
- §80b–6 Prohibited transactions by investment advisers
- §80b–6a Exemptions
- §80b–7 Material misstatements
- §80b–8 General prohibitions
- §80b–9 Enforcement of subchapter
- §80b–10 Disclosure of information by Commission
- §80b–10a Consultation
- §80b–11 Rules, regulations, and orders of Commission
- §80b–12 Hearings
- §80b–13 Court review of orders
- §80b–14 Jurisdiction of offenses and suits
- §80b–15 Validity of contracts
- §80b–16 Omitted
- §80b–17 Penalties
- §80b–18 Hiring and leasing authority of Commission
- §80b–18a State regulation of investment advisers
- §80b–18b Custody of client accounts
- §80b–18c Rule of construction relating to the Commodities Exchange Act
- §80b–19 Separability
- §80b–20 Short title
- §80b–21 Effective date