Indiana Code
Chapter 8.1. Investment Securities
26-1-8.1-201. "Issuer" Defined

Sec. 201. (a) With respect to an obligation on or a defense to a security, an "issuer" includes a person that:
(1) places or authorizes the placing of its name on a security certificate, other than as authenticating trustee, registrar, transfer agent, or the like, to evidence a share, participation, or other interest in its property or in an enterprise, or to evidence its duty to perform an obligation represented by the certificate;
(2) creates a share, participation, or other interest in its property or in an enterprise, or undertakes an obligation, that is an uncertificated security;
(3) directly or indirectly creates a fractional interest in its rights or property, if the fractional interest is represented by a security certificate; or
(4) becomes responsible for, or is in place of, another person described as an issuer in this section.
(b) With respect to an obligation on or defense to a security, a guarantor is an issuer to the extent of its guaranty, whether or not its obligation is noted on a security certificate.
(c) With respect to a registration of a transfer, issuer means a person on whose behalf transfer books are maintained.
As added by P.L.247-1995, SEC.10.

Structure Indiana Code

Indiana Code

Title 26. Commercial Law

Article 1. Uniform Commercial Code

Chapter 8.1. Investment Securities

26-1-8.1-0.1. Effect of Enactment of Chapter

26-1-8.1-0.3. Perfection of Certain Security Interests; Continuation of Perfection

26-1-8.1-101. Short Title

26-1-8.1-102. Definitions; Rules of Construction

26-1-8.1-103. Classification as Security or Financial Asset

26-1-8.1-104. Acquisition of a Security or Financial Asset

26-1-8.1-105. Notice of Adverse Claim

26-1-8.1-106. Control of Securities

26-1-8.1-107. Effectiveness of Endorsement, Instruction, or Entitlement Order

26-1-8.1-108. Warranties Upon Purchase or Transfer of Security

26-1-8.1-109. Warranties Made by and to a Securities Intermediary

26-1-8.1-110. Applicability of Local Law; Determination of Jurisdiction

26-1-8.1-111. Applicability of Rules Adopted by Clearing Corporations

26-1-8.1-112. Creditor Access to Debtor's Interest in a Security

26-1-8.1-113. Enforceability of Contracts for Sale or Purchase of a Security

26-1-8.1-114. Special Rules in Actions Against Issuers of a Certificated Security

26-1-8.1-115. Liability of Securities Intermediary, Broker, or Other Agent or Bailee

26-1-8.1-116. Determination of Securities Intermediary as Purchaser for Value

26-1-8.1-201. "Issuer" Defined

26-1-8.1-202. Terms of Security; Rules on Validity; Issuer's Defenses; Cancellation of Contracts

26-1-8.1-203. Notice of Defects

26-1-8.1-204. Restrictions on Transfer

26-1-8.1-205. Effect of Unauthorized Signature or Certificate

26-1-8.1-206. Enforceability of Incomplete or Incorrect Certificate

26-1-8.1-207. Registered Owner to Exercise All Rights and Powers of Owner Absent Appropriate Notice of Transfer

26-1-8.1-208. Warranties by Security Certificate Authenticating Signatory

26-1-8.1-209. Issuer's Lien

26-1-8.1-210. Overissue of Security; Refund in the Event of Unavailability of Security

26-1-8.1-301. Delivery of Security

26-1-8.1-302. Rights Acquired by Purchaser

26-1-8.1-303. "Protected Purchaser" Defined; Acquisition of Interest Free of Adverse Claims

26-1-8.1-304. Endorsement of Securities

26-1-8.1-305. Incomplete Instructions; Obligations Imposed on Person Initiating Instructions

26-1-8.1-306. Warranties by Guarantor

26-1-8.1-307. Duties of Transferor of Security

26-1-8.1-401. Issuer's Duty to Register Transfer

26-1-8.1-402. Issuer's Right to Assurances

26-1-8.1-403. Demand That Transfer Not Be Registered; Notice; Contents; Liability

26-1-8.1-404. Issuer Liability for Wrongful Registration of Transfer

26-1-8.1-405. Issuance of New Certificates; Protected Purchasers

26-1-8.1-406. Failure to Notify Issuer of Lost, Destroyed, or Wrongfully Taken Certificates

26-1-8.1-407. Obligations of Agents Acting on Behalf of Issuer

26-1-8.1-501. Acquisition of Security Entitlements

26-1-8.1-502. Adverse Claims Against Person Holding a Security Entitlement

26-1-8.1-503. Property Interests in Financial Assets; Enforcement of Property Rights; Purchasers for Value

26-1-8.1-504. Maintenance of Financial Assets by Securities Intermediary; Exempted Entity

26-1-8.1-505. Duty of Securities Intermediary to Obtain and Pay Distributions on Financial Assets

26-1-8.1-506. Duty of Securities Intermediary to Exercise Rights as Directed by Entitlement Holder

26-1-8.1-507. Duty of Securities Intermediary to Comply With Entitlement Order; Liability for Wrongful Transfer

26-1-8.1-508. Duty of Securities Intermediary to Act at Direction of Entitlement Holder

26-1-8.1-509. Standards for Performance of Duties by Securities Intermediary

26-1-8.1-510. Purchaser for Value of Financial Asset or Security Entitlement; Adverse Claims

26-1-8.1-511. Priority of Claims in Financial Asset