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Standards of Practice and Conduct | Midpage
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Virginia Administrative Code
Title 18
135
Chapter 20
Part V
Standards of Practice and Conduct
155
Grounds for disciplinary action.
160
Place of business.
165
Duties of supervising broker.
170
Maintenance of licenses.
181
Maintenance and management of escrow accounts.
185
Maintenance and management of records.
190
Advertising by licensees.
220
Disclosure of brokerage relationships.
225
Audits.
240
Provision of information to the board.
260
Prohibited acts.
270
Conflict of interest.
280
Improper financial transactions and dealings.
300
Misrepresentation or omission.
310
Improper delivery of instruments.
330
Principal and supervising broker's responsibility for acts of licensees and employees.
335
Activities to be performed by licensees; activities permitted to be performed by non-licensees.
340
Effect of disciplinary action on subordinate licensees.
345
Effect of disciplinary action on certificates, approvals, and concurrent licenses.