N.Y. Comp. Codes R. & Regs. tit. 11, ch. II, pt. 27 - Excess Line Placements Governing Standards
- § 27.0 - Preamble
- § 27.1 - Definitions
- § 27.2 - Excess line broker license application and renewal
- § 27.3 - Submission of risk to authorized insurers
- § 27.4 - Binding authority
- § 27.5 - Supporting affidavits
- § 27.6 - Documents to be filed with excess line association
- § 27.7 - Reports to be filed by excess line association
- § 27.8 - Annual premium tax statement
- § 27.9 - Premium tax allocation
- § 27.10 - Policy form compliance
- § 27.11 - Prohibited activities
- § 27.12 - Service fees
- § 27.13 - Duty to inquire about unauthorized insurers
- § 27.14 - Filings by unauthorized insurers; authorization to receive premium
- § 27.15 - Advice to insureds and evidence of coverage
- § 27.16 - Delivery of policy or other documents and required legend; required notification
- § 27.17 - Assessment policies
- § 27.18 - Return premiums
- § 27.19 - Assessment policies
- § 27.20 - Return premiums
- § 27.21 - Recordkeeping requirements
- § 27.22 - Unauthorized insurer's contractual obligations
- § 27.23 - Exemptions from electronic filing and submission requirements
- § 27.24 - Separability provision
Notes
Statutory authority: Insurance Law, §§201, 301, 307, 308, 316, 1213, 2101, 2104, 2105, 2110, 2116, 2117, 2118, 2121, 2122, 2130, 2344, 3103, 5907, 5909, 5911, 9102, arts. 21, 59; Financial Services Law, §§202, 302; L. 1997, ch. 225; L. 2002, ch. 587; L. 2011, ch. 61
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