Section 68IAC4-1-5. Fraudulent and deceptive practices prohibited  


Latest version.
  •    The executive director may initiate a disciplinary action under 68 IAC 13 if a person, in connection with the purchase or sale of any security issued by a casino licensee, supplier licensee, affiliate, or controlling person thereof:

    (1) is found guilty of;

    (2) pleads nolo contendere to;

    (3) is the subject of a final cease and desist order with respect to;

    (4) is subject to an order of permanent injunction issued on the basis of; or

    (5) is the subject of a similar final action taken on the basis of;

    a violation of Rule 10b-5 promulgated by the Securities and Exchange Commission under Section 10(b) of the Securities Exchange Act of 1934 (15 U.S.C. 78a et seq.) or a violation of IC 23-19-1. (Indiana Gaming Commission; 68 IAC 4-1-5; filed Dec 11, 1995, 4:30 p.m.: 19 IR 1028; readopted filed Dec 1, 2003, 9:45 a.m.: 27 IR 1297; readopted filed Sep 22, 2009, 4:00 p.m.: 20091021-IR-068090475RFA; filed Dec 6, 2012, 2:32 p.m.: 20130102-IR-068110786FRA)