A broker-dealer or investment adviser that, in good faith and exercising reasonable care, makes a disclosure of information pursuant to section 603 of this article is immune from administrative or civil liability that might otherwise arise from the disclosure or for any failure to notify the customer of the disclosure.
Structure West Virginia Code
Chapter 32. Uniform Securities Act
Article 6. The Protection of Eligible Adults From Financial Exploitation
§32-6-603. Governmental Disclosures
§32-6-604. Immunity for Governmental Disclosures
§32-6-605. Third-Party Disclosures
§32-6-606. Immunity for Third-Party Disclosures
§32-6-607. Delaying Transactions or Disbursements
§32-6-608. Immunity for Delaying Transactions or Disbursements