Maine Code § 32-16612

Liability of control persons
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In an administrative action brought by the administrator, or a civil action brought by the Attorney
General for a violation of any provision of this chapter or any rule or order adopted or issued by the
administrator pursuant to this chapter, every person who directly or indirectly controls another person
liable for the violation, every partner, officer or director of that other person, every person occupying a
similar status or performing similar functions, every employee of that other person who materially aids
in the act or transaction constituting the violation and every broker-dealer, agent, investment adviser or
investment adviser representative who materially aids in the act or transaction constituting the violation
is liable to the same extent as that other person, unless the person otherwise secondarily liable under
this chapter proves that the person did not know, and in the exercise of reasonable care could not have
known, of the existence of the facts by reason of which the liability is alleged to exist. Any of the
remedies authorized by section 16603, subsection 2 may be granted with respect to a person secondarily
liable under this section. This section is not intended to abrogate any right to contribution that may exist
at common law with respect to an award of restitution. [PL 2005, c. 65, Pt. A, §2 (NEW).]

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