§ 6755. Bylaws, standards, and disciplinary actions
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(a)Adoption and amendment of bylaws and standards
(1)Procedures The Association shall adopt procedures for the adoption of bylaws and standards that are similar to procedures under subchapter II of chapter 5 of title 5 (commonly known as the “Administrative Procedure Act”).
(2)Copy required to be filed The Board shall submit to the President, through the Department of the Treasury, and the States (including State insurance regulators), and shall publish on the website of the Association, all proposed bylaws and standards of the Association, or any proposed amendment to the bylaws or standards of the Association, accompanied by a concise general statement of the basis and purpose of such proposal.
(3)Effective date Any proposed bylaw or standard of the Association, and any proposed amendment to the bylaws or standards of the Association, shall take effect, after notice under paragraph
(2)and opportunity for public comment, on such date as the Association may designate, unless suspended under section 6759(c) of this title.
(4)Rule of construction Nothing in this section shall be construed to subject the Board or the Association to the requirements of subchapter II of chapter 5 of title 5 (commonly known as the “Administrative Procedure Act”).
(b)Disciplinary action by the Association
(1)Specification of charges In any proceeding to determine whether membership shall be denied, suspended, revoked, or not renewed, or to determine whether a member of the Association should be placed on probation (referred to in this section as a “disciplinary action”) or whether to assess fines or monetary penalties, the Association shall bring specific charges, notify the member of the charges, give the member an opportunity to defend against the charges, and keep a record.
(2)Supporting statement A determination to take disciplinary action shall be supported by a statement setting forth—
(A)any act or practice in which the member has been found to have been engaged;
(B)the specific provision of this subchapter or standard of the Association that any such act or practice is deemed to violate; and
(C)the sanction imposed and the reason for the sanction.
(3)Ineligibility of private sector representatives Board members appointed pursuant to section 6754(c)(3) of this title may not—
(A)participate in any disciplinary action or be counted toward establishing a quorum during a disciplinary action; and
(B)have access to confidential information concerning any disciplinary action.
(Pub. L. 106–102, title III, § 325, as added Pub. L. 114–1, title II, § 202(a), Jan. 12, 2015, 129 Stat. 23.)
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Cited by 8 sections
U.S. Code
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statutes-at-large
- Public Law 114–1To extend the termination date of the Terrorism Insurance Program established under the Terrorism Risk Insurance Act of 2002, and for other purposes
- Public Law 106–102To enhance competition in the financial services industry by providing a prudential framework for the affiliation of banks, securities firms, insurance companies, and other financial service providers, and for other purposes
3 references not yet in our index
- Pub. L. 106–102, title III, § 325
- 129 Stat. 23
- 113 Stat. 1424
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§ 6755
Bylaws, standards, and disciplinary actions
U.S.C.×3
Stat. Comp.×2
Stat.×2
Pub. L.×1
Pub. L.Pub. L. 106–102, title III, § 325
Stat.129 Stat. 23
Stat.113 Stat. 1424
Cites 8Cited by 8 across 4 sources