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2025 Code of Georgia
Title 33 - Insurance (Chs. 1 — 66)
Chapter 49 - Reinsurance Intermediaries (§§ 33-49-1 — 33-49-11)
Annotations
Notes
Amendments.Ga. L. 1991, p. 1424, § 9, not codified by the General Assembly, contained inconsistencies in references to the sections of the bill due to differences in the section numbers contained in the Senate version of the bill and the final version of the bill. Subsection (d) of Ga. L. 1991, p. 1424, § 9, referenced the section which enacted this chapter and provides: “Section 6 of this Act shall become effective on July 1, 1991; provided, however, that persons required to be licensed under Section 6 shall have until January 1, 1992, to procure such license.”
Research References & Practice Aids
Law reviews.For note on 1991 enactment of this chapter, see 8 Ga. St. U. L. Rev. 89 (1992).
RESEARCH REFERENCES Am. Jur. Pleading and Practice Forms.14B Am. Jur. Pleading and Practice Forms, Insurance, § 717 et seq.
Hierarchy Notes:O. C. G. A. Title 33
Universal Citation:
O.C.G.A. Title 33, Ch. 49
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- § 33-49-1. Short title
- § 33-49-2. Definitions
- § 33-49-3. Brokers and managers required to be licensed producers; surety bond; errors and omissions policy; reinsurance intermediary license; exemption
- § 33-49-4. Written authorization of relationship required; contents
- § 33-49-5. Retention of records
- § 33-49-6. Prohibition against employing unlicensed broker or individual employed by broker; annual statement of broker’s financial condition required
- § 33-49-7. Written contract required between manager and reinsurer; contents
- § 33-49-8. Restrictions on manager’s operations
- § 33-49-9. Restrictions on reinsurer’s operations
- § 33-49-10. Examination of reinsurance intermediaries and managers by Commissioner
- § 33-49-11. Violations; penalties
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