Section: 26-B159

INVESTMENT ADVISER REPRESENTATIVE LICENSING

Most recent version of the final adopted rule codified in the D.C. Municipal Regulations (DCMR)


Effective Date : 7/1/2022 12:00:00 AM

Authority : Section 211 of the Securities Act of 2000, effective October 26, 2000 (D.C. Law 13-203; D.C. Official Code § 31–5602.11).

Source : Final Rulemaking published at 40 DCR 6732 (September 24, 1993); as amended by Emergency Rulemaking published at 48 DCR 1987 (March 2, 2001) [EXPIRED]; as amended by Final Rulemaking published at 48 DCR 4106 (May 11, 2001); as amended by Final Rulemaking published at 69 DCR 007987 (July 1, 2022).

Editor's Note :

Rulemaking notices were published in the D.C. Register(DCR) and Adopted Rules were codified into the D.C. Municipal Regulations (DCMR)

  Notice ID Register Category Heading Notice/
Adopted Section
Register Issue/
Effective Date
R0052013 Adopted Rule INVESTMENT ADVISER REPRESENTATIVE LICENSING View Text Effective:
7/1/2022

N123207 Final Rulemaking Insurance, Securities, and Banking, Department of - Notice of Final Rulemaking - Investment Adviser Representative Continuing Education Requirements View Text 7/1/2022
Vol 69/26
N121055 Proposed Rulemaking Insurance, Securities, and Banking, Department of - Notice of Proposed Rulemaking - Investment Adviser Representative Continuing Education Requirements View Text 4/22/2022
Vol 69/16
R0025313 Adopted Rule INVESTMENT ADVISER REPRESENTATIVE LICENSING View Text Effective:
1/1/1900

Other rules using the same rule number