Ind. Code § 5-10.2-13-16

Current through P.L. 171-2024
Section 5-10.2-13-16 - Exemption from conflicting statutory or common law obligations

With respect to actions taken in compliance with this chapter, including all good faith determinations regarding restricted entities and restricted investment products, the board and the system are exempt from any conflicting statutory or common law obligations, including any obligations with respect to choice of asset managers, investment funds, or investments for fund investment portfolios.

IC 5-10.2-13-16

Added by P.L. 104-2023,SEC. 1, eff. 5/1/2023.