6.1-114 - (Repealed effective October 1, 2010) Penalty for failure to comply with § 6.1-93 or § 6.1-87.

§ 6.1-114. (Repealed effective October 1, 2010) Penalty for failure to complywith § 6.1-93 or § 6.1-87.

Any such bank, trust company or trust subsidiary failing to comply with anyof the provisions of § 6.1-93, for a period of longer than thirty days, afterbeing called upon by the Commission for a statement, or to do such other actas is therein provided, shall be fined not less than $100 nor more than$1,000 per day for each day of noncompliance. Any officer of any such bank,trust company or trust subsidiary, who shall refuse to give any examiner theinformation or refuse to be sworn, as required by § 6.1-87, shall be finednot less than $25 nor more than $100 per day for each day of noncompliance.

(Code 1950, § 6-128; 1966, c. 584; 1974, c. 665; 1976, c. 658; 1988, c. 555;1997, c. 142.)