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- Alaska Statutes.
- Title 21. Insurance
- Chapter 27. Producers, Agents, Administrators, Brokers, Adjusters, and Managers
- Section 30. Controlled Business Disqualification.
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Section 25. Required Notice By Licensee.
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Section 40. Application For License.
AS 21.27.030. Controlled Business Disqualification.
- (a) The director may not issue an insurance producer, a managing general agent, or a surplus lines broker license to a
person if the director has reasonable cause to believe that the applicant for the license would, during the 12-month
period immediately following issuance of the license, earn or receive an aggregate amount in commission, service fees,
brokerage, or other valuable consideration, directly or indirectly, by whatever name called, represented by the
controlled business that exceeds 50 percent of the aggregate amount of compensation, commission, service fees,
brokerage, or other valuable consideration represented by all other insurance business that would be procured by or
through the applicant.
- (b) The vendor who is title holder of property being sold under an installment purchase contract is not considered to be
the owner of the property for the purposes of this section.
- (c) A licensee may not earn or receive an aggregate amount in commission, service fees, brokerage, or other valuable
consideration, directly or indirectly, by whatever name called, represented by the controlled business that exceeds 50
percent of the aggregate amount in compensation, commission, service fees, brokerage, or other valuable consideration
represented by all other insurance business in a calendar year.
- (d) In addition to any other penalty provided by law, a person who violates this section is subject to the penalties
provided under AS 21.27.440.
- (e) "Controlled business" means insurance procured or to be procured by or through the person upon
- (1) the life, person, or property of the person or those of the person's spouse or relatives by blood or marriage to the
second degree;
- (2) the life, person, or property of the employer or firm of the person, or of an officer, director, stockholder, or
member of the employer or firm of the person, other than members of mutual insurers, or of a spouse of the employer,
officer, director, stockholder, or member;
- (3) the life, person, or property of the ward or employees of the person, or upon persons or property under the person's
supervision or control as trustee under an indenture or decree, or as administrator or executor of an estate.
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