Sec. 60.7. (a) IC 25-34.1-6-4 (Concerning licensed brokers for certain reports, statements, and information).
(b) IC 25-34.1-10-16(a) (Concerning a client of a licensed broker for a misrepresentation made by the licensed broker).
(c) IC 25-34.1-10-16(b) (Concerning a licensed broker for a misrepresentation made by another licensed broker).
As added by P.L.116-2015, SEC.37. Amended by P.L.86-2018, SEC.264.