{"data":{"id":"us-nv/nrs-90.575","jurisdiction":"us-nv","citation":"NRS 90.575","heading":"Fiduciary duty of broker-dealers, sales representatives, investment advisers and representatives of investment advisers; regulations.","body":"1. A broker-dealer, sales representative, investment adviser or representative of an investment adviser shall not violate the fiduciary duty toward a client imposed by NRS 628A.020.\n2. The Administrator may by regulation:\n(a) Define or exclude an act, practice or course of business of a broker-dealer, sales representative, investment adviser or representative of an investment adviser as a violation of the fiduciary duty toward a client imposed by NRS 628A.020; and\n(b) Prescribe means reasonably designed to prevent broker-dealers, sales representatives, investment advisers and representatives of investment advisers from engaging in acts, practices and courses of business defined as a violation of such fiduciary duty.","path":["TITLE 7 — BUSINESS ASSOCIATIONS; SECURITIES; COMMODITIES","CHAPTER 90 - SECURITIES (UNIFORM ACT)","FRAUDULENT AND OTHER PROHIBITED PRACTICES"],"source_url":"https://www.leg.state.nv.us/NRS/NRS-090.html#NRS090Sec575","current_through":"2025 session (NRS as revised 2026-08-25)","vintage":"","retrieved_at":"2026-09-03T05:51:31Z","sha256":"47df98406816560f4285bdb558939daa1f5ce0ba7ae4644bdfac194d9f745c0d","source_id":"us-nv","stale":true,"prev":"us-nv/nrs-90.570","next":"us-nv/nrs-90.580"},"notice":"GroundRules: Original legal text. Not legal advice."}
