Division 1 - CORPORATE SECURITIES LAW OF 1968
- Part 1 - DEFINITIONS (§§ 25000 — 25023)
- Part 2 - QUALIFICATION OF AND FILING REQUIREMENTS FOR THE SALE OF SECURITIES (§§ 25100 — 25166)
- Part 3 - REGULATION AND NOTICE FILING REQUIREMENTS OF AGENTS, BROKER-DEALERS, INVESTMENT ADVISER REPRESENTATIVES, AND INVESTMENT ADVISERS (§§ 25200 — 25256)
- Part 4 - ADVERTISING SECURITIES (§§ 25300 — 25302)
- Part 5 - FRAUDULENT AND PROHIBITED PRACTICES (§§ 25400 — 25404)
- Part 6 - ENFORCEMENT (§§ 25500 — 25550)
- Part 7 - ADMINISTRATION (§§ 25600 — 25620)
- Part 8 - GENERAL PROVISIONS (§§ 25700 — 25707)