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Georgia law

Securities & Finance Laws in Georgia.

Georgia securities and finance disputes can involve investment fraud, broker misconduct, unregistered securities activity, and state-level enforcement alongside federal regulation and FINRA processes. The Georgia Uniform Securities Act of 2008 is administered by the Georgia Securities and Charities Division of the Secretary of State.

Last verified: 2026-04-17

State law

Key Georgia Statutes

Georgia Uniform Securities Act of 2008O.C.G.A. §§ 10-5-1 et seq.

Georgia’s securities statute regulates securities registration, broker-dealer and adviser registration, and fraudulent or prohibited practices in connection with securities activity.

State law

Official Sources

Not Legal Advice

This page summarizes publicly available statutes and rules for informational purposes only. It does not constitute legal advice, and no attorney-client relationship is created by viewing this content. Laws change — always verify with the primary source or consult a licensed attorney in Georgia.

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