Part 27 Excess Line Placements Governing Standards
- 11 CRR-NY II 27 Notes
- s 27.0 Preamble and applicability.
- s 27.1 Definitions.
- s 27.2 Excess line broker license application and renewal.
- s 27.3 Submission of risk to authorized insurers.
- s 27.4 Binding authority.
- s 27.5 Supporting affidavits.
- s 27.6 Documents to be filed with excess line association.
- s 27.7 Reports to be filed by excess line association.
- s 27.8 Annual premium tax statement.
- s 27.9 Premium tax allocation.
- s 27.10 Policy form compliance.
- s 27.11 Prohibited activities.
- s 27.12 Service fees.
- s 27.13 Duty to inquire about unauthorized insurers.
- s 27.14 Filings by unauthorized insurers; authorization to receive premium.
- s 27.15 Advice to insureds and evidence of coverage.
- s 27.16 Delivery of policy or other documents and required legend; required notification.
- s 27.17 Assessment policies.
- s 27.18 Return premiums.
- s 27.19 Recordkeeping requirements.
- s 27.20 Unauthorized insurer's contractual obligations.
- s 27.21 Exemptions from electronic filing and submission requirements.
- s 27.22 Separability provision.
- s 27.23 (Repealed)
- s 27.24 (Repealed)