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shall comply with the privacy provisions of the federal Gramm- | | Leach-Bliley Act, 15 United States Code, Section 6801 et seq. | | (1999) and the implementing Regulation S-P, federal Privacy of | | Consumer Financial Information, 17 Code of Federal Regulations, | | Part 248 (2001) adopted by the Securities and Exchange Commission. | | This subsection is not intended to permit the release of health | | care information except as permitted by Title 22, section 1711-C or | | Title 24-A, chapter 24. |
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| | | 10.__Rulemaking.__Rules adopted pursuant to this section are | | routine technical rules as defined in Title 5, chapter 375, | | subchapter 2-A. |
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| | | §16412.__Denial, revocation, suspension, withdrawal, |
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| | | restriction, condition or limitation of licensing |
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| | | 1.__Disciplinary conditions, applicants.__If the administrator | | finds that the order is in the public interest and subsection 4 | | authorizes the action, an order issued under this chapter may | | deny an application, or may condition or limit licensing, of an | | applicant to be a broker-dealer, agent, investment adviser or | | investment adviser representative and, if the applicant is a | | broker-dealer or investment adviser, of a partner, officer, | | director or person having a similar status or performing similar | | functions, or a person directly or indirectly in control, of the | | broker-dealer or investment adviser. |
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| | | 2.__Disciplinary conditions, licensees.__If the administrator | | finds that the order is in the public interest and subsection 4 | | authorizes the action, an order issued under this chapter may | | revoke, suspend, condition or limit the license of a licensee | | and, if the licensee is a broker-dealer or investment adviser, | | the license of a partner, officer, director or person having a | | similar status or performing similar functions, or a person | | directly or indirectly in control, of the broker-dealer or | | investment adviser. Notwithstanding this subsection, the | | administrator may not: |
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| | | A.__Institute a revocation or suspension proceeding under | | this subsection based on an order issued under a law of | | another state that is reported to the administrator or a | | designee of the administrator more than one year after that | | state's order is reported; or |
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| | | B.__Under subsection 4, paragraph E, subparagraph (1) or | | (2), issue an order on the basis of an order issued under | | the securities act of another state unless the other state's | | order was based on conduct for which subsection 4 would | | authorize the action had the conduct occurred in this State. |
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