Sec. 102.1. (a) IC 26-1-8.1-115 (Concerning a securities intermediary, broker, or other bailee of a financial asset that is the subject of an adverse claim).
(b) IC 26-1-8.1-404 (Concerning an issuer for registration of transfer of a security under an effective endorsement or instruction).
As added by P.L.86-2018, SEC.293.