Chapter 27-1. Domestic Insurance Companies
Section
27-1-1Site of principal office and records.27-1-1.1Telephone number — Toll-free or collect.27-1-2Special stockholders’ meetings — Notice — Quorum.27-1-2.1Corporate governance standards.27-1-3Stock assessments to meet deficits.27-1-4Power of companies to comply with tax and license laws not held invalid.27-1-5Deposits with general treasurer to comply with laws of other states.27-1-6Holding of deposits — Income — Replacement.27-1-7Certificate of deposits.27-1-8Return of deposit on termination of business.27-1-9Examinations to ascertain market value of securities deposited — Deficiencies.27-1-10State not liable for deposits.27-1-11Visitation and examination of insurance companies.27-1-12Summons of witnesses — Obstruction or refusal to testify.27-1-13Citation for forfeiture of charter for unsafe practices.27-1-14Decree of forfeiture — Receiver.27-1-15Collection and distribution of assets by receiver — Reinsurance.27-1-16Powers of receiver — Removal and control by court.27-1-16.1Sale by receiver of charter and licenses.27-1-16.2Court-approved settlements.27-1-17Stay of executions and process against company.27-1-18Limited injunction without receivership.27-1-19Declaration of forfeiture.27-1-20Temporary injunction.27-1-21Failure to deliver property or records to receiver.27-1-22Assessments by receiver of mutual company.27-1-23Plan for reorganization of company in receivership — Application for submission of plan to creditors and stockholders.27-1-24Meetings to approve reorganization plan — Filing of approved plan.27-1-25Decree approving reorganization plan — Binding effect.27-1-26Principles for classification of creditors and stockholders.27-1-27Severability.27-1-28Proxies, consents, and authorizations in respect to any equity security issued by a domestic insurer.27-1-29Reports of directors, officers, and principal shareholders.27-1-30Liability of directors, officers, and shareholders.27-1-31Prohibited sales of securities.27-1-32Exempted sales of dealers.27-1-33Exempted arbitrage transactions.27-1-34Definitions.27-1-35Companies not subject to securities regulations.27-1-36Regulations of “insider trading”.27-1-37Minimum capital and surplus requirement — Charters.27-1-38Acquisition of minority interests in subsidiary insurers.27-1-39Discrimination in rates prohibited.27-1-40Conversion to stock form of organization.27-1-40.1Mutual insurance holding companies.27-1-41[Repealed.]27-1-42Maximum amount of single risk.27-1-43Applicability.27-1-44Prohibition on the pledging of stock.27-1-45Determination of premium tax rate.27-1-46Information security program.27-1-47Notification of a cybersecurity event.