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Nevada · Through 2025 session (NRS as revised 2026-08-25) · Newer source version available

NRS 90.590: Prohibited transactions by investment advisers and representatives of investment advisers.

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Where this section sits in the code
  1. TITLE 7 — BUSINESS ASSOCIATIONS; SECURITIES; COMMODITIES
  2. CHAPTER 90 - SECURITIES (UNIFORM ACT)
  3. FRAUDULENT AND OTHER PROHIBITED PRACTICES

It is unlawful for an investment adviser, representative of an investment adviser or other person who represents an investment adviser in performing an act that requires licensing as an investment adviser under this chapter, directly or indirectly, to:

1. Employ a device, scheme or artifice to defraud a client; or

2. Engage in an act, practice or course of business that operates or would operate as a fraud or deceit upon a client.

Collected 2026-09-03T05:51:31Z. Source file · JSON

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