{"data":{"id":"us-nm/58-13d-4","jurisdiction":"us-nm","citation":"58-13D-4","heading":"Immunity for disclosures.","body":"A broker-dealer, investment adviser or qualified individual who, in exercising reasonable care, complies with Section 3 [58-13D-3 NMSA 1978] of the Protecting Vulnerable Adults from Financial Exploitation Act and has completed the training required pursuant to Section 7 [58-13D-7 NMSA 1978] of that act shall be immune from any administrative or civil liability that might otherwise arise from such disclosure.","path":["Chapter 58 - Financial Institutions and Regulations","ARTICLE 13D Protecting Vulnerable Adults from Financial Exploitation"],"source_url":"https://nmonesource.com/nmos/nmsa-unanno/en/item/18561/index.do","current_through":"2025-01-07","vintage":"","retrieved_at":"2026-09-03T15:02:20Z","sha256":"b634ec98ab827a29800ce02ebf94131e22dd1cf9944f4a03ea9f994b379a92ac","source_id":"us-nm","stale":false,"prev":"us-nm/58-13d-3","next":"us-nm/58-13d-5"},"notice":"GroundRules: Original legal text. Not legal advice."}
