568. The Authority may make an order pursuant to section 567 where, in the opinion of the Authority, the conduct of a financial services cooperative is contrary to sound and prudent management practices or the commercial practices referred to in section 66.1, or does not comply with the requirements under section 131.1, even if the cooperative complies with the guidelines.
2000, c. 29, s. 568; 2002, c. 45, s. 338; 2004, c. 37, s. 90; 2008, c. 7, s. 69.