Indiana Code
Chapter 12. Board for Depositories
5-13-12-12. Board Reports; Presentment to Budget Committee

Sec. 12. (a) In June and December each year, the board shall prepare a written report generally summarizing the board's activities and the status of the public deposit insurance fund for the previous six (6) months. However, the report may not identify a particular financial institution notwithstanding the requirements of IC 5-14-3. The report shall be made available on the board's Internet web site.
(b) The chairperson of the board or the chairperson's designee shall present the semiannual report to the budget committee at a public hearing.
As added by P.L.115-2010, SEC.17.

Structure Indiana Code

Indiana Code

Title 5. State and Local Administration

Article 13. Investment of Public Funds

Chapter 12. Board for Depositories

5-13-12-1. Creation; Purpose; Public Deposit Insurance Fund; Tax Exemption

5-13-12-2. Membership; Term; Officers; Quorum; Conduct of Meetings; Notice; Proceedings; Executive Sessions; Records

5-13-12-2.5. Repealed

5-13-12-3. Function, Powers, and Purpose

5-13-12-3.1. Repealed

5-13-12-4. Secretary-Investment Manager; Powers and Duties

5-13-12-5. Assessment Rate; Determination and Fixing; Assessment Base; Waiver or Elimination of Assessment Rate

5-13-12-6. Depositories; Duty to File Monthly Report and Pay Assessment to Insurance Fund; Failure to Pay; Forms

5-13-12-7. Insurance Fund; Management and Operation; Transfer Restrictions; Establishment of Reserve; Determination of Profit Distribution; Investment; Limitations; Immunity of Members

5-13-12-8. Economic Development Obligation or Credit Enhancement Obligation Guarantees; Limitation; Conditions; Claims, Losses, or Debts

5-13-12-8.5. Repealed

5-13-12-8.6. Validity of Certain Loan Guaranties

5-13-12-9. Investment in Instruments of Indebtedness of Credit Corporation Issued Certificate of Election by Secretary of State

5-13-12-10. Subordination of Valid Security Agreement, Mortgage, Combinations Thereof, or Other Appropriate Document Securing Direct Obligations

5-13-12-11. Loans to Commuter Transportation District

5-13-12-12. Board Reports; Presentment to Budget Committee

5-13-12-13. Loan to State General Fund; Repayment