{"data":{"id":"us-ak/as-45.56.560","jurisdiction":"us-ak","citation":"AS 45.56.560","heading":"Qualified immunity.","body":"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 administrator, a designee of the administrator, the Securities and Exchange Commission, or a self-regulatory organization, unless the person knew, or should have known at the time 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.","path":["Title 45. Trade and Commerce.","Chapter 56. Alaska Securities Act.","Article 3. Fraud and Liabilities."],"source_url":"https://www.akleg.gov/basis/statutes.asp#45.56.560","current_through":"Alaska Statutes 2025 (34th Legislature, 2025-2026)","vintage":"","retrieved_at":"2026-09-02T06:19:44Z","sha256":"7826a4db63ecfa35a9c7ed275510e402f580474b1fdde945f7da3a8559b26335","source_id":"us-ak","stale":false,"prev":"us-ak/as-45.56.550","next":"us-ak/as-45.56.600"},"notice":"GroundRules: Original legal text. Not legal advice."}
