Rule 0-2 — General procedures for serving non-residents.
Rule 0-3 — References to rules and regulations.
Rule 0-4 — General requirements of papers and applications.
Rule 0-5 — Procedure with respect to applications and other matters.
Rule 0-6 — Incorporation by reference in applications.
Rule 202(a)(1)-1 — Certain transactions not deemed assignments.
Rule 202(a)(11)(G)-1 — Family offices.
Rule 202(a)(30)-1 — Foreign private advisers.
Rule 203-1 — Application for investment adviser registration.
Rule 203-2 — Withdrawal from investment adviser registration.
Rule 203-3 — Hardship exemptions.
Rule 203(l)-1 — Venture capital fund defined.
Rule 203(m)-1 — Private fund adviser exemption.
Rule 203A-1 — Eligibility for SEC registration; Switching to or from SEC registration.
Rule 203A-2 — Exemptions from prohibition on Commission registration.
Rule 203A-4 — [Reserved]
Rule 203A-5 — [Reserved]
Rule 203A-6 — [Reserved]
Rule 204-1 — Amendments to Form ADV.
Rule 204-2 — Books and records to be maintained by investment advisers.
Rule 204-3 — Delivery of brochures and brochure supplements.
Rule 204-4 — Reporting by exempt reporting advisers.
Rule 204-5 — Delivery of Form CRS.
Rule 204(b)-1 Reporting by investment advisers to private funds.
Rule 204A-1 — Investment adviser codes of ethics.
Rule 206(3)-2 — Agency cross transactions for advisory clients.
Rule 206(4)-1 — Advertisements by investment advisers.
Rule 206(4)-2 — Custody or possession of funds or securities of clients.
Rule 206(4)-3 — [Reserved]
Rule 206(4)-4 — [Reserved]
Rule 206(4)-5 — Political contributions by certain investment advisers.
Rule 206(4)-7 — Compliance procedures and practices.
Rule 206(4)-8 — Pooled investment vehicles.
Rule 222-2 — Definition of “client” for purposes of the national de minimis standard.