9 V.S.A. § 5507: Qualified immunity
Where this section sits in the code
- Title 9: Commerce and Trade
- Chapter 150: Securities Act
- Subchapter 005: FRAUD AND LIABILITIES
A broker-dealer, agent, investment adviser, federal covered investment adviser, or investment adviser representative is not liable to another broker-dealer, agent, investment adviser, federal covered investment adviser, or investment adviser representative for defamation relating to a statement that is contained in a record required by the Commissioner, or designee of the Commissioner, the Securities and Exchange Commission, or a self-regulatory organization, unless the person knew, or should have known at the time that the statement was made, that it was false in a material respect or the person acted in reckless disregard of the statement’s truth or falsity.
Collected 2026-09-05T14:50:21Z. Source file · JSON