{"data":{"id":"us-ut/utah-code-61-1-202","jurisdiction":"us-ut","citation":"Utah Code § 61-1-202","heading":"Governmental and third party disclosures.","body":"(1) If a broker-dealer, an investment adviser, or a qualified individual reasonably believes that a person has engaged in or attempted to engage in the financial exploitation of an eligible adult, the broker-dealer, investment adviser, or qualified individual:\n(a) shall promptly notify the division and Adult Protective Services; and\n(b) subject to Subsection (2), may notify a person previously designated by the eligible adult, a person allowed to receive notification under applicable law or any customer agreement, or an individual reasonably associated with the eligible adult.\n(2) A broker-dealer, an investment adviser, or a qualified individual may not notify a third party under Subsection (1)(b) if the third party is suspected of engaging in the financial exploitation of the eligible adult or other abuse of the eligible adult.","path":["Title 61 Securities Division - Real Estate Division","Chapter 61-1 Utah Uniform Securities Act","Part 61-1-2 Protection of Vulnerable Adults from Financial Exploitation Act"],"source_url":"https://le.utah.gov/xcode/Title61/Chapter1/61-1-S202.html","current_through":"2026 General Session","vintage":"","retrieved_at":"2026-09-03T11:34:33Z","sha256":"a66d153c0409e0c313bdf9af17ea3bc6811c7fecc5f7c925b616bda9b262b64f","source_id":"us-ut","stale":false,"prev":"us-ut/utah-code-61-1-201","next":"us-ut/utah-code-61-1-203"},"notice":"GroundRules: Original legal text. Not legal advice."}
