Wisconsin Code § 452.133

Duties of licensees; prohibitions
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(1) DUTIES
TO ALL PARTIES TO A TRANSACTION. A firm providing brokerage
services to a party to a transaction owes all of the following duties
to the party:
(a) The duty to provide brokerage services honestly and fairly.
(b) The duty to provide brokerage services with reasonable
skill and care.
(c) The duty to timely disclose in writing all material adverse
facts that the firm knows and that the party does not know or cannot discover through reasonably vigilant observation, unless the
disclosure of a material adverse fact is prohibited by law.
(d) The duty to keep confidential any information given to the
firm in confidence, or any information obtained by the firm that
the firm knows a reasonable person would want to be kept confidential, unless the information must be disclosed by law or the
person whose interests may be adversely affected by the disclosure specifically authorizes the disclosure of particular information. The firm shall continue to keep the information confidential after the transaction is complete and after the firm is no
longer providing brokerage services to the party.
(e) The duty to provide accurate information about market
conditions that affect the transaction, within a reasonable time after a request for such information by the party, unless disclosure
of the information is prohibited by law.
(f) The duty to safeguard trust funds and other property held
as required by rules promulgated under s. 452.13 (5).
(g) When the firm is negotiating on behalf of a party, the duty
to present contract proposals in an objective and unbiased manner
and disclose the advantages and disadvantages of the proposals.
(2) DUTIES TO CLIENTS. A firm providing brokerage services
to a client owes the client the duties that the firm owes to a party
under sub. (1) and all of the following additional duties:
(a) The duty to loyally represent the client’s interests by doing
all of the following:
1. Placing the client’s interests ahead of the interests of the
firm.
2. Placing the client’s interests ahead of the interests of persons in the transaction who are not the firm’s clients by not disclosing to persons in the transaction other than the firm’s clients
information or advice the disclosure of which is contrary to the
interests of a client of the firm, unless the disclosure is required
by law.
(am) The duty to provide, when requested by the client, information and advice to the client on matters that are material to the
client’s transaction and that are within the scope of the knowledge, skills, and training required under this chapter.
(b) The duty to disclose to the client all information known by
the firm that is material to the transaction and that is not known
by the client or discoverable by the client through reasonably vigilant observation, except for confidential information under sub.
(1) (d) and other information the disclosure of which is prohibited
by law.
(c) The duty to fulfill any obligation required by the agency
agreement, and any order of the client that is within the scope of
the agency agreement, that is not inconsistent with another duty
that the firm has under this chapter or any other law.
(d) The duty to negotiate on behalf of the client.
(3) PROHIBITED CONDUCT. In providing brokerage services, a
licensee may not do any of the following:
(a) Accept any fee or compensation related to the transaction
from any person other than the licensee’s client or firm without
the prior written consent of all parties to the transaction. This
paragraph does not prohibit an out-of-state broker from accepting
a fee or compensation in the case of a cooperative agreement under s. 452.137 (2) (am).
(1) (a).
(4) SUBAGENT’S DUTIES. (a) A subagent owes all parties to
whom the subagent is providing brokerage services in a transaction the duties specified in sub. (1) but does not owe the clients of
the principal firm the duties under sub. (2).
(b) A subagent may not do any of the following:
1. Place the subagent’s interests ahead of the interests of the
clients of the principal firm in the transaction in which the subagent has been engaged by the principal firm.
2. Provide advice or opinions to parties in the transaction if
providing the advice or opinions is contrary to the interests of the
clients of the principal firm in the transaction in which the subagent has been engaged by the principal firm, unless required by
law.
(4m) DUTIES AND PROHIBITIONS; APPLICATION TO LICENSEES. (a) Subject to par. (d), a firm’s duties under sub. (1) extend to each licensee associated with that firm, and each licensee
associated with a firm owes the same duties to a party that the
firm owes to that party under sub. (1).
(b) Except as provided in s. 452.134 (3) (b) and subject to par.
(d), a firm’s duties under sub. (2) extend to each licensee associated with that firm, and each licensee associated with a firm owes
the same duties to a client of the firm that the firm owes to that
client under sub. (2).
(c) 1. Subject to par. (d), a subagent’s duties under sub. (4) (a)
extend to each licensee associated with that subagent, and each licensee associated with a subagent owes the same duties to a party
that the subagent owes to that party under sub. (4) (a).
2. Subject to par. (d), the prohibitions that apply to a subagent under sub. (4) (b) extend to each licensee associated with
that subagent, and no licensee associated with a subagent may
take any action that the subagent is prohibited from taking under
sub. (4) (b).
(d) The duties and prohibitions under pars. (a) to (c) extend
only to a licensee providing brokerage services to a party to the
transaction.
(5) DUTIES WITHOUT AGENCY OR SUBAGENCY RELATIONSHIP. If a firm is providing brokerage services to a person who is
a party or a prospective party to a current or prospective transaction, and the firm does not have an agency agreement with the
person and is not a subagent of another firm in the transaction,
then the firm and any licensees associated with the firm owe the
person the duties under sub. (1) and may not, unless required by
law, provide advice or opinions relating to the transaction in
which the person is receiving brokerage services if providing the
advice or opinions is contrary to the interests of a party to a current or prospective transaction with the person receiving the brokerage services.
(6) WAIVER OF DUTIES. The duties imposed by subs. (1), (2)
(a), (am), (b), and (c), (4), and (5) may not be waived. A client
may waive, in part or in full, the duty under sub. (2) (d), except
that a waiver under this subsection is not effective unless the firm
or a licensee associated with the firm provides to the client a written disclosure containing all of the following:
(a) A copy of the text of sub. (2) (d) and s. 452.01 (5m), and a
statement that, as a consequence of the client’s waiver, the firm
and any licensees associated with the firm will have no legal duty
to perform the duty imposed by sub. (2) (d).
(b) A statement that as a consequence of the client’s waiver,
the client may require the assistance of an attorney or another service provider to fulfill the client’s goals and contractual duties in
the transaction.

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