Code of Virginia
Chapter 5 - Securities Act
§ 13.1-526. Transition

Registrations of dealers and agents under prior law shall continue as registrations as broker-dealers and agents under this chapter until April 30 following the effective date of this chapter. Licenses issued under § 13-128 of the Code of 1950 shall continue in effect until April 30 following the effective date of this chapter. The exemption provided for regularly established dealers by § 13-113 (11), whenever the requirements of §§ 13-116 to 13-121 inclusive have been complied with prior to the effective date of this chapter, shall continue in effect until April 30 following the effective date of this chapter and all securities for which a registration is in effect pursuant to that exemption on the effective date of the repeal of § 13-113 (11) shall be deemed to have been registered by notification under this chapter. But such registrations, licenses and exemptions may be terminated by the Commission for causes justifying termination of registrations under this chapter.
1956, c. 428.

Structure Code of Virginia

Code of Virginia

Title 13.1 - Corporations

Chapter 5 - Securities Act

§ 13.1-501. Definitions

§ 13.1-502. Unlawful offers and sales

§ 13.1-503. Unlawful advice

§ 13.1-504. Registration

§ 13.1-504.1. Brokerage services of savings and loan associations, savings banks or service corporations of either; when registration not required

§ 13.1-504.2. Broker-dealer services provided by credit unions; when registration not required

§ 13.1-505. Procedure for registration

§ 13.1-505.1. Post-registration provisions

§ 13.1-506. Revocation of registration

§ 13.1-507. Registration requirement; exemptions

§ 13.1-508. Registration by notification

§ 13.1-509. Registration by coordination

§ 13.1-510. Registration by qualification

§ 13.1-511. Effectiveness and reports

§ 13.1-512. Repealed

§ 13.1-513. Stop orders

§ 13.1-514. Exemptions

§ 13.1-514.1. Exemption of certain securities by order of Commission

§ 13.1-514.2. Primacy of Virginia law to be maintained

§ 13.1-515. Advertising

§ 13.1-516. Misleading filings

§ 13.1-517. Consent to service of process

§ 13.1-518. Investigations; confidentiality of information and documents

§ 13.1-518.1. Broker-dealers and investment advisors to file certain reports with Commission

§ 13.1-519. Injunctions

§ 13.1-520. Crimes

§ 13.1-520.1. Commission may transmit record or complaint to locality where violation occurred

§ 13.1-521. Violations punishable by the Commission

§ 13.1-522. Civil liabilities

§ 13.1-523. Rules and forms

§ 13.1-523.1. Commission authority to regulate securities and investment advisory activities

§ 13.1-524. Certain records of Commission available to public; admissibility of copies; destruction

§ 13.1-525. Official interpretations

§ 13.1-525.1. Fees to cover expense of regulation

§ 13.1-526. Transition

§ 13.1-527. Short title

§ 13.1-527.01. Repealed

§ 13.1-527.1. Division created; duties

§ 13.1-527.2. Attorneys, employees and consultants

§ 13.1-527.3. Commission to provide technical assistance