§ 7-11-505. Unlawful representations concerning licensing, registration, or exemption.
(a) Neither the fact that a notice filing or an application for licensing or a registration statement has been filed under this chapter nor the fact that a person is licensed or a security is registered under this chapter constitutes a finding by the director that a document filed under this chapter is true, complete, and not misleading. Neither of those facts nor the fact that an exemption or exception is available for a security or a transaction means that the director has passed upon the merits or qualifications of, or recommended or given approval to, a person, security, or transaction.
(b) No person may make, or cause to be made, to a purchaser, customer, or client a representation inconsistent with subsection (a) of this section.
History of Section.P.L. 1990, ch. 460, § 2; P.L. 1997, ch. 69, § 1.
Structure Rhode Island General Laws
Title 7 - Corporations, Associations and Partnerships
Chapter 7-11 - Rhode Island Uniform Securities Act
Part V - Fraudulent and Other Prohibited Practices
Section 7-11-501. - Offers, sales, and purchases.
Section 7-11-502. - Market manipulation.
Section 7-11-503. - Prohibited transactions by investment advisers, federal covered advisers.
Section 7-11-504. - Misleading filings.
Section 7-11-505. - Unlawful representations concerning licensing, registration, or exemption.