Raised S.B. No. 871
Session Year 2015


To specify the governing procedures and definitions for market conduct examinations conducted by the Insurance Department, and to establish immunity for persons conducting such examinations and the confidentiality of examination reports, workpapers and other information obtained or reviewed by said department during such examination.

Introduced by:
Insurance and Real Estate Committee

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Bill History

 Date Action Taken
 6/2/2015Disagreeing Action, Tabled for Calendar, Senate
 6/2/2015Transmitted Pursuant To Joint Rule 17
 6/2/2015House Passed as Amended by House Amendment Schedule A
 6/2/2015House Adopted House Amendment Schedule A 9191
 5/22/2015House Calendar Number 614
 5/22/2015Favorable Report, Tabled for the Calendar, House
 5/20/2015On Consent Calendar
 5/20/2015Senate Passed
 3/10/2015(LCO)File Number 51
 3/10/2015Senate Calendar Number 93
 3/10/2015Favorable Report, Tabled for the Calendar, Senate
 3/10/2015(LCO)Reported Out of Legislative Commissioners' Office
 3/4/2015(LCO)Referred to Office of Legislative Research and Office of Fiscal Analysis 03/09/15 5:00 PM
 2/25/2015(LCO)Filed with Legislative Commissioners' Office
 2/25/2015(INS)Joint Favorable
 2/11/2015Public Hearing 02/19
 2/5/2015Referred to Joint Committee on Insurance and Real Estate

Co-sponsors of SB-871

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