| B.__An agent who represents a broker-dealer that is exempt | under this subsection to effect transactions in securities | or attempt to effect the purchase or sale of securities in | this State as permitted for a broker-dealer described in | paragraph A. |
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| | 5.__Rulemaking.__Rules adopted pursuant to this section are | routine technical rules as defined in Title 5, chapter 375, | subchapter 2-A. |
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| §16402.__Agent licensing requirement and exemptions |
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| | 1.__Licensing requirement.__It is unlawful for an individual | to transact business in this State as an agent unless the | individual is licensed under this chapter as an agent or is | exempt from licensing as an agent under subsection 2. |
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| | 2.__Exemptions from licensing.__The following individuals are | exempt from the licensing requirement of subsection 1: |
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| A.__An individual who represents a broker-dealer in | effecting transactions in this State limited to those | described in Section 15(h)(2) of the federal Securities | Exchange Act of 1934, 15 United States Code, Section | 78(o)(2); |
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| B.__An individual who represents a broker-dealer that is | exempt under section 16401, subsection 2 or 4; |
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| C.__An individual who represents an issuer with respect to | an offer or sale of the issuer's own securities or those of | the issuer's parent or any of the issuer's subsidiaries and | who is not compensated in connection with the individual's | participation by the payment of commissions or other | remuneration based, directly or indirectly, on transactions | in those securities; |
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| D.__An individual who is a 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 represents an issuer and who | effects transactions in the issuer's securities exempted by | section 16202, other than section 16202, subsections 11, 25 | and 26; |
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| E.__An individual who represents an issuer that effects | transactions solely in federal covered securities of the issuer, | but an individual who effects transactions in a federal covered | security under Section 18(b)(3) or 18(b)(4)(D) of the federal | Securities Act of 1933, 15 United |
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