Code of Alabama

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22-13-35
Section 22-13-35 Liability under article. (a) No person shall have any claim or cause
of action against the State of Alabama, or its political subdivisions, or any individual arising
out of any acts or omissions which occurred under the provisions of this article, if the state,
political subdivisions, or individual is in compliance with this article. (b) No person shall
have any claim or cause of action against any person, or the employer or employee of any person,
who participates in good faith in the reporting or receiving, or both, of cancer registry
data or data for cancer or benign brain-related tumor morbidity or mortality studies in accordance
with this article. (c) No license of a health care facility or health care provider may be
denied, suspended, or revoked for the good faith disclosure of confidential or privileged
information in the reporting of cancer registry data or data for cancer or benign brain-related
tumor morbidity or mortality studies in accordance with this...
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34-27-32
Section 34-27-32 Requirements for license; application; place of business; branch offices;
multiple brokers; fees. (a) A license for a broker or a salesperson shall be registered to
a specific real estate office and shall be issued only to, and held only by, a person who
meets all of the following requirements: (1) Is trustworthy and competent to transact the
business of a broker or salesperson in a manner that safeguards the interest of the public.
(2) Is a person whose application for real estate licensure has not been rejected in any state
on any grounds other than failure to pass a written examination within the two years prior
to the application for real estate licensure with Alabama. If the applicant's rejection for
real estate licensure in any state is more than two years from the date of application for
licensure with Alabama, then the applicant may not be issued an Alabama real estate license
without the approval of the commissioners. (3) Is a person whose real estate license...
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2-15-132
Section 2-15-132 Dealer license required; denial or revocation of license; appeal. (a)
No person may engage in the business of a dealer as defined in Section 2-15-131 without
having a license therefor issued by the Commissioner of Agriculture and Industries, which
license shall expire on December 31 and shall be renewable as of January 1 of each year. (b)
An application for a license or annual renewal of a license as required under subsection (a)
of this section shall be filed with the commissioner upon a form furnished for this
purpose accompanied by a fee established by the Board of Agriculture and Industries payable
before issuance of such license. Such application shall state the full name and address of
the person applying for the license, the name of each member of the firm or all officers,
if a corporation or association, together with the location of the applicant's business operation
and the general territory or area in which the applicant intends to buy livestock, and it...

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34-27-34
Section 34-27-34 Who may serve as qualifying broker; responsibility of qualifying broker;
change of broker; termination of qualifying broker's status. (a)(1) A broker may serve as
qualifying broker for a salesperson or associate broker only if licensed in Alabama, his or
her principal business is that of a real estate broker, and he or she shall be in a position
to actually supervise the real estate activities of the associate broker or salesperson on
a full-time basis. (2) A salesperson or associate broker shall not perform acts for which
a license is required unless licensed under a qualifying broker. A qualifying broker shall
be held responsible to the commission and to the public for all acts governed by this chapter
of each salesperson and associate broker licensed under him or her and of each company for
which he or she is the qualifying broker. It shall be the duty of the qualifying broker to
see that all transactions of every licensee engaged by him or her or any company for...
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8-6-8
Section 8-6-8 Registration of securities - Registration statement; conditions precedent;
bond; notice of action; fees; quarterly reports and financial statements; discharge from supervision.
(a) A registration statement on securities may be filed by the issuer, any other person on
whose behalf the offering is to be made, or a registered dealer. Any document filed under
this article within five years preceding the filing of a registration statement may be incorporated
by reference in the registration statement to the extent that the document is currently accurate.
The commission may permit, by rule or otherwise, the omission of any item of information or
document from any registration statement. (b) The Securities Commission may require as a condition
of registration by qualification or coordination that: (1) proceeds from the sale of the registered
security be impounded until the issuer receives a specified amount, or (2) any security issued
within the past three years, or to be...
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34-24-503
Section 34-24-503 Effect of license. (a) The issuance by the commission of a special
purpose license to practice medicine or osteopathy across state lines subjects the licensee
to the jurisdiction of the board and the commission in all matters set forth in Sections 34-24-50
to 34-24-83, inclusive, and Sections 34-24-310 to 34-24-406, inclusive, and the implementing
rules and regulations of the commission and the board, including all matters related to discipline.
It shall be the affirmative duty of every licensee to report to the Board of Medical Examiners
in writing within 15 days of the initiation of any disciplinary action against the license
to practice medicine or osteopathy of the licensee by any state or territory in which the
licensee is licensed. In addition, the licensee agrees, by acceptance of such license, to
produce patient medical records or materials as requested by the board or the commission or
to appear before the board or the commission or any of its committees...
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2-15-133
Section 2-15-133 Bonds or bond equivalents; financial statements and reports; liability
for payments. (a) No license as required under Section 2-15-132 shall be issued or
renewed until the applicant therefor shall make, execute, and thereafter maintain on file
with the commissioner a bond or a bond equivalent as provided in subsection (f) in favor of
the State of Alabama or a trustee to be approved by the commissioner to secure the performance
of obligations incurred in the State of Alabama and the payment thereof to persons from whom
such dealer purchases livestock. Except as otherwise provided in this subsection, the amount
of each bond shall be not less than the next multiple of two thousand dollars ($2,000) above
the average amount of purchases of livestock purchased either as a dealer or on an agency
basis in Alabama during a period equivalent to two business days based on the total number
of business days and the total amount of such transactions during the preceding 12 months
or...
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40-17-168.5
Section 40-17-168.5 Surety bond. (a) Upon approval of the application by the department,
the applicant must file with the department a surety bond. The bond amount for an applicant
for a license as a public seller of CNG/LNG or a fleet producer of CNG/LNG shall be a minimum
of twenty-five thousand dollars ($25,000) or in the approximate amount of twice the average
monthly tax liability, whichever is greater. (b) The department shall review the bond amounts
every five years beginning January 2023 to ensure that each public seller of CNG/LNG and each
fleet producer of CNG/LNG has posted a surety bond sufficient to cover twice the average monthly
tax liability as referenced in subdivision (a). Based upon this review or at any time that
the department determines that the bond amount is insufficient to cover twice the average
monthly tax liability, the commissioner may require an additional surety bond from any licensee
under one or more of the following circumstances: (1) The commissioner...
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5-13B-113
Section 5-13B-113 Suspension or revocation of license; factors. If, after notice and
a hearing, the superintendent finds any of the following with respect to a foreign bank which
is licensed to establish and maintain an Alabama state branch or Alabama state agency, he
or she may issue an order suspending or revoking the license of such foreign bank: (1) That
the foreign bank has violated any provision of this article or of any regulation or order
issued under this article or any provision of any other applicable law, regulation, or order;
(2) That the foreign bank is transacting activities in this state in an unsafe or unsound
manner or, in any case, is transacting activities elsewhere in an unsafe or unsound manner;
(3) That the foreign bank or any one or more of its Alabama state branches or Alabama state
agencies is in an unsafe or unsound condition; (4) That the foreign bank has ceased to operate
any of its offices in this state without the prior approval of the superintendent in...
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34-21-121
Section 34-21-121 Definitions. For the purposes of this article, the following terms
shall have the following meanings: (1) ADVERSE ACTION. Any administrative, civil, equitable,
or criminal action permitted by the law of a state which is imposed by a licensing board or
other authority against a nurse, including actions against the license or multistate licensure
privilege of an individual, including revocation, suspension, probation, monitoring of a licensee,
limitations on the practice of the licensee, the bringing of a cease and desist action against
the licensee, or any other encumbrance on licensure affecting the authorization of a nurse
to practice. (2) ALTERNATIVE PROGRAM. A nondisciplinary monitoring program approved by a licensing
board. (3) COMMISSION. The Interstate Commission of Nurse Licensure Compact Administrators.
(4) COMPACT. The Enhanced Nurse Licensure Compact created by this article. (5) COORDINATED
LICENSURE INFORMATION SYSTEM. An integrated process for collecting,...
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