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C-73.2, r. 1
- Regulation respecting brokerage requirements, professional conduct of brokers and advertising
Table of Contents
Updated to 1 July 2024
CHAPTER
0.I
INTERPRETATION
CHAPTER
I
REQUIREMENTS TO BE MET TO ENGAGE IN A BROKERAGE TRANSACTION
DIVISION
I
GENERAL REQUIREMENTS
DIVISION
II
REPRESENTATION OF PARTIES TO A TRANSACTION
DIVISION
III
INTEREST IN AN IMMOVABLE, AN ENTERPRISE OR A LOAN SECURED BY IMMOVABLE HYPOTHEC
DIVISION
IV
CHANGE AFFECTING A LICENCE HOLDER BOUND BY A REAL ESTATE BROKERAGE CONTRACT
DIVISION
V
VERIFICATION OF IDENTITY AND LEGAL CAPACITY
DIVISION
VI
INFORMATION PROTECTION MEASURES
DIVISION
VI.1
BROKERAGE ACTIVITIES WITHIN A BUSINESS CORPORATION
DIVISION
VII
REMUNERATION SHARING
DIVISION
VIII
(Revoked)
DIVISION
IX
MISCELLANEOUS
CHAPTER
I.1
MANNER IN WHICH MANDATORY FORMS MUST BE COMPLETED
CHAPTER
II
(Revoked)
DIVISION
I
(Revoked)
DIVISION
II
(Revoked)
DIVISION
III
(Revoked)
CHAPTER
III
PROFESSIONAL CONDUCT
DIVISION
I
GENERAL
DIVISION
II
GENERAL DUTIES AND OBLIGATIONS TOWARDS THE PUBLIC
DIVISION
III
DUTIES TOWARDS THE PARTY REPRESENTED AND THE PARTIES TO A TRANSACTION
DIVISION
IV
DUTIES TOWARDS OTHER LICENCE HOLDERS
DIVISION
V
DUTIES TOWARDS THE PROFESSION
CHAPTER
IV
REPRESENTATION, ADVERTISING AND INFORMATION ON IMMOVABLES
DIVISION
I
REPRESENTATION AND ADVERTISING
DIVISION
II
IDENTIFICATION OF A LICENCE HOLDER
DIVISION
III
INFORMATION ON IMMOVABLES