{"data":{"id":"us-nh/rsa-382-a-8-115","jurisdiction":"us-nh","citation":"RSA 382-A:8-115","heading":"Securities Intermediary and Others Not Liable to Adverse Claimant.","body":"A securities intermediary that has transferred a financial asset pursuant to an effective entitlement order, or a broker or other agent or bailee that has dealt with a financial asset at the direction of its customer or principal, is not liable to a person having an adverse claim to the financial asset, unless the securities intermediary, or broker or other agent or bailee:\n(1) took the action after it had been served with an injunction, restraining order, or other legal process enjoining it from doing so, issued by a court of competent jurisdiction, and had a reasonable opportunity to act on the injunction, restraining order, or other legal process; or\n(2) acted in collusion with the wrongdoer in violating the rights of the adverse claimant; or\n(3) in the case of a security certificate that has been stolen, acted with notice of the adverse claim.","path":["Title XXXIV-A: UNIFORM COMMERCIAL CODE","Chapter Part 1: Short Title and General Matters"],"source_url":"https://gc.nh.gov/rsa/html/XXXIV-A/382-A/382-A-8-115.htm","current_through":"2025 regular legislative session, or December 2025","vintage":"","retrieved_at":"2026-09-05T15:43:59Z","sha256":"93ec3dbe865ec68c4608e6794e9ebfa7fd5209787ee20b25c70280875128b7de","source_id":"us-nh","stale":false,"prev":"us-nh/rsa-382-a-8-114","next":"us-nh/rsa-382-a-8-116"},"notice":"GroundRules: Original legal text. Not legal advice."}
