Part V - Standards of Practice and Conduct
- § 18VAC135-20-155 - Grounds for disciplinary action
- § 18VAC135-20-160 - Place of business
- § 18VAC135-20-165 - Duties of supervising broker
- § 18VAC135-20-170 - Maintenance of licenses
- § 18VAC135-20-180 - Maintenance and management of escrow accounts
- § 18VAC135-20-185 - Maintenance and management of financial records
- § 18VAC135-20-190 - Advertising by licensees
- § 18VAC135-20-200 - [Repealed]
- § 18VAC135-20-210 - [Repealed]
- § 18VAC135-20-220 - Disclosure of brokerage relationships
- § 18VAC135-20-225 - Audits
- § 18VAC135-20-230 - [Repealed]
- § 18VAC135-20-240 - Provision of records to the board
- § 18VAC135-20-250 - Response to any inquiry of the board
- § 18VAC135-20-260 - Prohibited acts
- § 18VAC135-20-270 - Conflict of interest
- § 18VAC135-20-280 - Improper brokerage commission
- § 18VAC135-20-290 - Improper dealing
- § 18VAC135-20-300 - Misrepresentation/omission
- § 18VAC135-20-310 - Improper delivery of instruments
- § 18VAC135-20-320 - [Repealed]
- § 18VAC135-20-330 - Principal and supervising broker's responsibility for acts of licensees and employees
- § 18VAC135-20-340 - Effect of disciplinary action on subordinate licensees
- § 18VAC135-20-345 - Effect of disciplinary action on concurrent licenses
State regulations are updated quarterly; we currently have two versions available. Below is a comparison between our most recent version and the prior quarterly release. More comparison features will be added as we have more versions to compare.
No prior version found.