| An Act To Update and Amend the Revised Maine Securities Act |
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| Be it enacted by the People of the State of Maine as follows: |
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| | Sec. 1. 32 MRSA §10302, sub-§2, ¶B, as enacted by PL 1985, c. 400, §2, | is amended to read: |
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| B. A sales representative bona fide officer, director, | partner or member of the issuer, or an individual occupying | a similar status or performing similar functions, or a bona | fide employee of the issuer who is acting for an issuer in | effecting transactions in a security exempt by one or more | paragraphs of section 10502, subsection 1, except paragraphs | E, F, G, H, I and J; |
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| | Sec. 2. 32 MRSA §10302, sub-§2, ¶C, as amended by PL 1999, c. 279, §1, | is further amended to read: |
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| C. A sales representative bona fide officer, director, | partner or member of the issuer, or an individual occupying | a similar status or performing similar functions, or a bona | fide employee of the issuer who is acting for an issuer | effecting offers or sales of securities in transactions | exempt by one or more paragraphs of section 10502, | subsection 2, except paragraph S; |
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| | Sec. 3. 32 MRSA §10302, sub-§2, ¶D, as amended by PL 1991, c. 82, §1, | is further amended to read: |
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