Investment Advisers Act of 1940

The Investment Adviser Act of 1940 is the statute that provides the regulations for the registration and oversight of individuals and corporations who are not brokers or dealers, but who provide investment advice to the public.

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The Investment Advisers Act of 1940

Rules and Regulations under the Investment Advisers Act of 1940

Index to all Securities Laws, Rules and Regulations

Looking for a securities attorney? – Mark J. Astarita is a nationally recognized securities lawyer. He has over 30 years of experience representing investors, brokers, advisers, and issuers nationwide. He is available by phone at 212-509-6544 or by email at mja@sallahlaw.com


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Need help with a securities law issue? Call New York Securities Lawyer at 212-509-6544 or visit the website. Representing investors and advisers across the country for over 30 years.

Securities Attorney at Sallah Astarita & Cox | 212-509-6544 | mja@sallahlaw.com | Website | + posts

Mark Astarita is a nationally recognized securities attorney, who represents investors, financial professionals and firms in securities litigation, arbitration and regulatory matters, including SEC and FINRA investigations and enforcement proceedings.

He is a partner in the national securities law firm Sallah Astarita & Cox, LLC, and the founder of The Securities Law Home Page - SECLaw.com, which was one of the first legal topic sites on the Internet. It went online in 1995 and is updated daily with news, commentary and securities law related links.