California Statutes
§ 25230.1. — 25230.1. (Amended by Stats. 1998, Ch. 48, Sec. 6.)
California § 25230.1.
JurisdictionCalifornia
Code CORPCorporations Code - CORP
Div.1.
Title 4.DIVISION 1. CORPORATE SECURITIES LAW OF 1968
Part 3.PART 3. REGULATION AND NOTICE FILING REQUIREMENTS OF AGENTS, BROKER-DEALERS, INVESTMENT ADVISER REPRESENTATIVES, AND INVESTMENT ADVISERS
Ch. 3.CHAPTER 3. Licensing and Notice Filing Requirements of Investment Adviser Representatives and Investment Advisers
This text of California § 25230.1. (25230.1. (Amended by Stats. 1998, Ch. 48, Sec. 6.)) is published on Counsel Stack Legal Research, covering California primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.
Bluebook
Cal. Corporations Code - CORP Code § 25230.1. (2026).
Text
(a)A person that is registered under Section 203 of the Investment Advisers Act of 1940 as an investment adviser is not subject to the requirement of obtaining a certificate under Section 25230, but may not conduct business in this state unless the person has fewer than six clients as specified in Section 25202 or unless the person first complies with subdivision (b). An investment adviser representative that has a place of business in this state may be required to obtain a certificate pursuant to Section 25231.
(b)A person subject to subdivision (a) shall:
(1)File with the commissioner an annual notice, consisting of those documents filed with the Securities and Exchange Commission pursuant to the securities laws that the commissioner by rule or order deems appropriate or, in lieu the
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Legislative History
Amended by Stats. 1998, Ch. 48, Sec. 6. Effective January 1, 1999.
Nearby Sections
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Bluebook (online)
California § 25230.1., Counsel Stack Legal Research, https://law.counselstack.com/statute/ca/CORP/25230.1..