Florida Code — 517
Browse 45 sections in division 517 of the Florida code. Each section page includes the full statutory text, official source links, and citation guidance.
Sections (showing up to 300)
- § 517.011. Short title.
- § 517.021. Definitions.
- § 517.03. Rulemaking; immunity for acts in conformity with rules.
- § 517.051. Exempt securities.
- § 517.061. Exempt transactions.
- § 517.0611. The Florida Limited Offering Exemption.
- § 517.0612. Florida Invest Local Exemption.
- § 517.0613. Failure to comply with a securities registration exemption.
- § 517.0614. Integration of offerings.
- § 517.0615. Solicitations of interest.
- § 517.0616. Disqualification.
- § 517.07. Registration of securities.
- § 517.072. Viatical settlement investments.
- § 517.075. Cuba, prospectus disclosure of doing business with, required.
- § 517.081. Registration procedure.
- § 517.082. Registration by notification; federal registration statements.
- § 517.101. Consent to service.
- § 517.111. Revocation or denial of registration of securities.
- § 517.12. Registration of dealers, associated persons, intermediaries, and investment advisers.
- § 517.1201. Notice filing requirements for federal covered advisers.
- § 517.1202. Notice-filing requirements for branch offices.
- § 517.1205. Registration of associated persons specific as to securities dealer, investment adviser, or federal covered adviser identified at time of registration approval.
- § 517.121. Books and records requirements; examinations.
- § 517.1214. Continuing education requirements for associated persons of investment advisers and federal covered advisers.
- § 517.1215. Requirements, rules of conduct, and prohibited business practices for investment advisers and their associated persons.
- § 517.1217. Rules of conduct and prohibited business practices for dealers and their associated persons and for intermediaries.
- § 517.122. Arbitration.
- § 517.131. Securities Guaranty Fund.
- § 517.141. Payment from the fund.
- § 517.151. Investments of the fund.
- § 517.161. Revocation, denial, or suspension of registration of dealer, investment adviser, intermediary, or associated person.
- § 517.1611. Guidelines.
- § 517.171. Burden of proof.
- § 517.191. Enforcement by the Office of Financial Regulation; enforcement by Attorney General.
- § 517.201. Investigations; examinations; subpoenas; hearings; witnesses.
- § 517.2015. Confidentiality of information relating to investigations and examinations.
- § 517.2016. Public records exemption; examination techniques or procedures.
- § 517.211. Private remedies available in cases of unlawful sale.
- § 517.275. Commodities; prohibited practices.
- § 517.301. Fraudulent transactions; falsification or concealment of facts.
- § 517.302. Criminal penalties; alternative fine; Anti-Fraud Trust Fund; time limitation for criminal prosecution.
- § 517.313. Destroying certain records; reproduction.
- § 517.315. Fees.
- § 517.32. Exemption from excise tax, certain obligations to pay.
- § 517.34. Protection of specified adults.