{"data":{"id":"us-wv/w.-va.-code-32-6-606","jurisdiction":"us-wv","citation":"W. Va. Code § 32-6-606","heading":"Immunity for Third-Party Disclosures.","body":"A broker-dealer or investment adviser that, in good faith and exercising reasonable care, complies with §32-6-605 of this code is immune from any administrative or civil liability that might arise from the disclosure.","path":["CHAPTER 32. UNIFORM SECURITIES ACT.","ARTICLE 6. THE PROTECTION OF ELIGIBLE ADULTS FROM FINANCIAL EXPLOITATION."],"source_url":"https://code.wvlegislature.gov/32-6-606/","current_through":"as of 2026-08-03; contains at least the enactments of the 2026 Regular Session","vintage":"","retrieved_at":"2026-09-06T00:28:14Z","sha256":"1d32fb055ee591f14c12e953b49d4e4f732e51f8beceafd836db47eb83322961","source_id":"us-wv","stale":true,"prev":"us-wv/w.-va.-code-32-6-605","next":"us-wv/w.-va.-code-32-6-607"},"notice":"GroundRules: Original legal text. Not legal advice."}
