The provisions of § 111.17(B)(1)(a) through (c) and (g) shall not apply to any of the following:
(A) A corporation, the stock of which is listed on a stock exchange in the state or the City of New York, State of New York;
(B) A bank, trust company, financial institution or title company to which application is made or to whom a permit is issued in a fiduciary capacity; and/or
(C) A corporation which is required by law to file periodic reports with the Securities and Exchange Commission.
(1981 Code, § 50.05)