Article 7-C of the New York Multiple Dwelling Law, commonly known as the 1982 Loft Law, was designed to protect the residential tenants of certain former commercial buildings in New York City from substandard conditions, eviction, and unfair rent increases.[1][2] The law affected buildings it defined as Interim Multiple Dwellings (IMDs), commercial or manufacturing loft buildings that had at least three units occupied by residents during the period of April 1, 1980, through December 1, 1981.[3] It required landlords to bring converted residences up to code, and prevented them from charging tenants for improvements until the issuance of a Certificate of Occupancy.[4] The law was administered by the New York City Loft Board.
1982 Loft Law | |
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New York State Legislature | |
| |
Territorial extent | Any city in New York State with at least 1 million residents. Effectively limited to New York City. |
Enacted by | New York State Legislature |
Enacted | 1982 |
Amended by | |
| |
Status: In force |
The 1982 Loft Law should not be confused with the artists' loft law, Article 7-b of the New York State Multiple Dwelling Law nor with rent control legislation, which limits the ability of landlords to increase the rent of certain long-term tenants. The artists' loft law requires that the tenant be certified by either the New York State Council on the Arts or the city's department of Cultural Affairs. While this law applied to any city of at least one million in New York State, only New York City has such population.
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