
28 August 2015 | 4 replies
Grounds for denial of issuance of license or for disciplinary action(A) In addition to Section 40-1-110, the commission may deny issuance of a license to an applicant or may take disciplinary action against a licensee who:(1) makes a substantial misrepresentation involving a real estate transaction;(2) makes false promises of a character likely to influence, persuade, or induce;(3) pursues a continued and flagrant course of misrepresentation or makes false and misleading promises through associated licensees or through any medium of advertising or otherwise;(4) in the practice of real estate demonstrates bad faith, dishonesty, untrustworthiness, or incompetency in a manner as to endanger the interest of the public;(5) represents or attempts to represent a real estate broker other than his broker-in-charge or property manager-in-charge without the express knowledge and written consent of the employing broker-in-charge or property manager-in-charge;(6) guarantees or authorizes and permits any associated licensee to guarantee future profits from the resale of real estate;(7) makes a dual set of contracts, written or otherwise, by stating a sales price higher than the actual sales price in an effort to obtain a larger loan from a lender or lending institution or for the purpose of misinforming a governmental agency or any other reason;(8) is convicted of violating the federal and state fair housing laws, forgery, embezzlement, breach of trust, larceny, obtaining money or property under false pretense, extortion, fraud, conspiracy to defraud, or has been convicted of a violent crime as defined in Section 16-1-60, has been convicted during the previous five years of a felony directly related to the practice of the profession, or has been convicted during the previous seven years of a felony, an essential element of which is dishonesty, reasonably related to the practice of the profession, or pleading guilty or nolo contendere to any such offense in a court of competent jurisdiction of this State, any other state, or any federal court;(9) fails to report to the department in writing by certified mail, within ten days, notice of conviction of a crime provided for in item (8);(10) fails, within a reasonable time, to account for or to remit any monies coming into his possession which belong to others;(11) pays a commission or compensation to an unlicensed individual for activities requiring a license under this chapter.
31 August 2015 | 0 replies
In essence, all assets of the Self-Directed 401K Plan will be under the sole authority of the 401k participant.

31 August 2015 | 3 replies
The notice may be given before or after the landlord files any action authorized by subsection A of this section.Demand for past due rent is deemed a demand for possession of the premises and no further notice to quit possession need be given by the landlord to the tenant for any purpose.

2 September 2015 | 13 replies
Its about how these authors would do things if they started over in the real estate investing business today.Send me a Colleague Request and we can chat whenever you want.

14 September 2015 | 6 replies
I'm listed as an authorized user on a few of my parents' credit cards.
2 September 2015 | 5 replies
Sorry if this sounds harsh but I'm genuinely curious what the assurances you're getting from the local authorities look like.

2 September 2015 | 8 replies
Look to see if your city housing authority offers any grants for rehabs.You may be able to save money if you do some of the work yourself.

30 September 2015 | 44 replies
Our small claims courts are run by elected officials that may or may not be attorneys.

17 June 2018 | 7 replies
Its about how these authors would do things if they started over in the real estate investing business today.Send me a Colleague Request and we can chat whenever you want.

3 September 2015 | 6 replies
@Joeny Ortiz In order for the bank to talk to you, your seller will need to provide the bank with an authorization to release information to you.