Each case study is thoughtfully written to prompt critical thinking about professional conduct, decision-making, and the responsibilities of licensed brokers. You'll explore scenarios involving:
✔ Misrepresentation of material facts
✔ Mishandling of trust accounts
✔ Unauthorized property management
✔ Dual agency violations
✔ Fraudulent investment schemes
✔ And much more
Included in the PDF:
10 detailed, realistic case studies
Clearly identified ethical concerns and license law violations (with references to NC statutes and rules)
Discussion questions for classroom or small-group use
Instructor Guide with answer keys and facilitation tips
Format: Printable PDF | Instant Download
Sharpen judgment. Spark discussion. Stay compliant.
Whether you're a CE instructor or a brokerage leader, this case study collection will help bring abstract rules to life—and keep your team on the right side of the Commission.