Australian Securities and Investments Commission Act 2001
No. 51, 2001
Compilation No. 104
Compilation date: 21 February 2025
Includes amendments: Act No. 15, 2025
This compilation is in 2 volumes
Volume 1: sections 1–93H
Volume 2: sections 94–346
Endnotes
Each volume has its own contents
About this compilation
This compilation
This is a compilation of the Australian Securities and Investments Commission Act 2001 that shows the text of the law as amended and in force on 21 February 2025 (the compilation date).
The notes at the end of this compilation (the endnotes) include information about amending laws and the amendment history of provisions of the compiled law.
Uncommenced amendments
The effect of uncommenced amendments is not shown in the text of the compiled law. Any uncommenced amendments affecting the law are accessible on the Register (www.legislation.gov.au). The details of amendments made up to, but not commenced at, the compilation date are underlined in the endnotes. For more information on any uncommenced amendments, see the Register for the compiled law.
Application, saving and transitional provisions for provisions and amendments
If the operation of a provision or amendment of the compiled law is affected by an application, saving or transitional provision that is not included in this compilation, details are included in the endnotes.
Editorial changes
For more information about any editorial changes made in this compilation, see the endnotes.
Modifications
If the compiled law is modified by another law, the compiled law operates as modified but the modification does not amend the text of the law. Accordingly, this compilation does not show the text of the compiled law as modified. For more information on any modifications, see the Register for the compiled law.
Self‑repealing provisions
If a provision of the compiled law has been repealed in accordance with a provision of the law, details are included in the endnotes.
Contents
Part 1—Preliminary
Division 1—Objects
1 Objects
Division 2—Citation
1A Short title
Division 3—Commencement and application
2 Commencement
4 Application of this Act
4A Application of the Criminal Code
Division 4—Interpretation
5 Interpretation
6 Giving information
Part 2—Australian Securities and Investments Commission and consumer protection in relation to financial services
Division 1—Australian Securities and Investments Commission
8 ASIC is a body corporate
8A ASIC's liabilities are Commonwealth liabilities
9 Membership
9A Application of the finance law
10 Chairperson and Deputy Chairpersons
10A Chairperson not subject to direction by ASIC on certain matters
11 Corporations legislation functions and powers and other functions and powers
12 Directions by Minister
12A Other functions and powers
12AA Cooperation with APRA
Division 2—Unconscionable conduct and consumer protection in relation to financial services
Subdivision A—Application
12AC Division extends to some conduct outside Australia
12AD Application of Division to Commonwealth and Commonwealth authorities
12AE Saving of other laws and remedies
Subdivision B—Interpretation
12BA Interpretation
12BAA Definition of financial product
12BAB Meaning of financial service
12BB Misleading representations with respect to future matters
12BC Consumers
12BD Acquisition, supply and re‑supply
12BE Application of Division in relation to leases and licences of land and buildings
12BEA Asserting a right to payment
Subdivision BA—Unfair contract terms
12BF Unfair terms of consumer contracts and small business contracts
12BG Meaning of unfair
12BH Examples of unfair terms
12BI Terms that define main subject matter of consumer contracts or small business contracts etc. are unaffected
12BK Standard form contracts
12BL Contracts to which this Subdivision does not apply
12BLA Replacement life insurance contracts to which this Subdivision does not apply
12BLB Renewed life insurance contracts to which this Subdivision does not apply
12BLC This Subdivision does not apply to certain contracts connected with financial markets
12BM Contraventions of this Subdivision etc.
Subdivision C—Unconscionable conduct
12CA Unconscionable conduct within the meaning of the unwritten law of the States and Territories
12CB Unconscionable conduct in connection with financial services
12CC Matters the court may have regard to for the purposes of section 12CB
Subdivision D—Consumer protection
12DA Misleading or deceptive conduct
12DB False or misleading representations
12DC False or misleading representations in relation to financial products that involve interests in land
12DD Cash price to be stated in certain circumstances
12DE Offering rebates, gifts, prizes etc.
12DF Certain misleading conduct in relation to financial services
12DG Bait advertising
12DH Referral selling
12DI Accepting payment without intending or being able to supply as ordered
12DJ Harassment and coercion
12DK Pyramid selling of financial products
12DL Unsolicited credit cards and debit cards
12DM Assertion of right to payment for unsolicited financial services etc.
12DMA Liability of recipient for unsolicited financial services etc.
12DMB Assertion of right to payment for unauthorised advertisements
12DMC Caps on commissions for add‑on risk products supplied in connection with motor vehicles
12DN Application of provisions of this Division to information providers
Subdivision DA—Deferred sales for add‑on insurance products
12DO Meaning of add‑on insurance product
12DP Meaning of add‑on insurance deferral period and add‑on insurance pre‑deferral period
12DQ Prohibition on selling add‑on insurance products before end of add‑on insurance deferral period etc.
12DR Prohibition on offering add‑on insurance product during add‑on insurance deferral period
12DS Prohibition on offering add‑on insurance product—customer opt‑out
12DT Right of return and refund for add‑on insurance product sold in contravention of section 12DQ
12DU Exception for financial advisers
12DV Exception for product covered by product intervention order
12DW Exception for comprehensive motor vehicle insurance
12DX Exemption by regulations
12DY Exemption by ASIC
12DZ Effect of exemption
12DZA Contravention of conditions on exemption
Subdivision E—Conditions and warranties in consumer transactions
12EA Conflict of laws
12EB Application of provisions not to be excluded or modified
12EC Limitation of liability for breach of certain conditions or warranties
12ED Warranties in relation to the supply of financial services
Subdivision G—Enforcement and remedies
12GA Interpretation
12GB Offences against Subdivision D or DA
12GBA Declaration of contravention of civil penalty provision
12GBB Pecuniary penalty orders
12GBC Maximum pecuniary penalty
12GBCA Pecuniary penalty applicable
12GBCB Civil enforcement of pecuniary penalty order
12GBCC Relinquishing the benefit derived from engaging in conduct resulting in a pecuniary penalty order
12GBCD Civil enforcement of relinquishment order
12GBCE Meaning of benefit derived and detriment avoided because of a contravention of a civil penalty provision
12GBCF Civil evidence and procedure rules for declarations of contravention, pecuniary penalty orders and relinquishment orders
12GBCG Civil proceedings after criminal proceedings
12GBCH Criminal proceedings during civil proceedings
12GBCJ Criminal proceedings after civil proceedings
12GBCK Evidence given in civil proceedings not admissible in criminal proceedings
12GBCL Attempt and involvement in contravention treated in same way as actual contravention
12GBCM Continuing contraventions of civil penalty provisions
12GBCN State of mind
12GBCP Exceptions etc. to civil penalty provisions—burden of proof
12GBD Indemnification of officers
12GC Enforcement and recovery of certain fines
12GCA Preference must be given to compensate persons who suffer damage as a result of contravention
12GD Injunctions
12GF Actions for damages
12GFA Recovering commissions that exceed a cap under section 12DMC
12GG Finding in proceedings to be evidence
12GH Conduct by directors, employees or agents
12GI Defences
12GJ Jurisdiction of courts
12GK Transfer of matters
12GL Transfer of certain proceedings to Federal Circuit and Family Court of Australia (Division 1)
12GLA Non‑punitive orders
12GLB Punitive orders requiring adverse publicity
12GLC ASIC may issue a public warning notice
12GLD Order disqualifying a person from managing corporations
12GM Other orders
12GN Power of Court to prohibit payment or transfer of money or other property
12GNA Limit on liability for misleading or deceptive conduct
12GNB Orders to redress loss or damage suffered by non‑parties etc.
12GNC Kinds of orders that may be made to redress loss or damage suffered by non‑parties etc.
12GND Declarations
12GNE Orders made in favour of party to contract containing unfair term
12GNF Orders made on application of ASIC to prevent and remedy unfair contract terms
12GNG Interaction with other provisions
12GO Intervention by ASIC
Subdivision GA—Proportionate liability for misleading and deceptive conduct
12GP Application of Subdivision
12GQ Certain concurrent wrongdoers not to have benefit of apportionment
12GR Proportionate liability for apportionable claims
12GS Defendant to notify plaintiff of concurrent wrongdoer of whom defendant is aware
12GT Contribution not recoverable from defendant
12GU Subsequent actions
12GV Joining non‑party concurrent wrongdoer in the action
12GW Application of Subdivision
Subdivision GB—Infringement notices
12GX When an infringement notice may be given
12GXA Provisions subject to an infringement notice
12GXB Matters to be included in an infringement notice
12GXC Payment period
12GXD Extension of time to pay amount
12GXE Payment by instalments
12GXF Withdrawal of an infringement notice
12GXG Effect of payment of amount
12GXH Effect of this Subdivision
Subdivision GC—Substantiation notices
12GY ASIC may require claims to be substantiated etc.
12GYA Extending periods for complying with substantiation notices
12GYB Compliance with substantiation notices
12GYC False or misleading information etc.
Subdivision H—Miscellaneous
12HA Relationship of this Subdivision to Part 3
12HB Disclosure of documents by ASIC
12HC Prosecutions for offences against this Division etc.
12HD Jurisdiction of Court to make declarations and orders
Part 3—Investigations and information‑gathering
Division 1—Investigations
13 General powers of investigation
14 Minister may direct investigations
15 Investigation after report of receiver or liquidator
16 Interim report on investigation
17 Final report on investigation
18 Distribution of report
Division 2—Examination of persons
19 Notice requiring appearance for examination
20 Proceedings at examination
21 Requirements made of examinee
22 Examination to take place in private
22A Proceedings at examination
23 Examinee's lawyer may attend
24 Record of examination
25 Giving to other persons copies of record
26 Copies given subject to conditions
27 Record to accompany report
Division 3—Inspection of books and audit information‑gathering powers
28 When certain powers may be exercised
29 ASIC may inspect books without charge
30 Notice to produce books about affairs of body corporate or registered scheme
30A Notice to auditors concerning information and books
30B Notice to registered liquidators concerning information and books
31 Notice to produce books about financial products
32A Notice to produce books about financial services
33 Notice to produce documents in person's possession
34 ASIC may authorise persons to require production of books, giving of information etc.
37 Powers where books produced or seized
38 Powers where books not produced
39 Power to require person to identify property of body corporate
39A ASIC may give copy of book relating to registered scheme to another person
39B ASIC to notify foreign regulator's access to information or books
39C ASIC may give information and books in relation to Chapter 5 bodies corporate
Division 3A—Extra application of Crimes Act search warrant provisions
Subdivision A—Basic extra application
39D Extra application of Crimes Act search warrant provisions
39E Interpretation of modifications
Subdivision B—Modifications
39F Major modifications—evidential material
39G Major modifications—who may apply for a warrant etc.
39H Major modifications—purposes for which things may be used and shared
39I Minor modifications
Division 4—Requirements to disclose information
40 When certain powers may be exercised
41 Acquisitions and disposals of financial products
42 Acquisitions and disposals of trust property by trustee companies
43 Exercise of certain powers of ASIC in relation to financial products
44 Exercise of certain powers of ASIC in relation to trust property acquired or disposed of by trustee company
47 Disclosures to take place in private
48 Lawyer of person making disclosure may attend
Division 5—Proceedings after an investigation
49 ASIC may cause prosecution to be begun
50 ASIC may cause civil proceeding to be begun
Division 5A—Audit deficiency notifications and reports
50A Application
50B Notice of audit deficiency
50C Audit deficiency report
50D Publication of report
50E Consultation before publication
Division 6—Hearings
51 Power to hold hearings
52 General discretion to hold hearing in public or private
53 Request by person appearing at hearing that it take place in public
54 Certain hearings to take place in private
55 ASIC may restrict publication of certain material
56 Who may be present when hearing takes place in private
57 Involvement of person entitled to appear at hearing
58 Power to summon witnesses and take evidence
59 Proceedings at hearings
59A Proceedings at hearings
60 ASIC to take account of evidence and submissions
61 Reference to Court of question of law arising at hearing
62 Protection of members etc.
Division 7—Offences
63 Non‑compliance with requirements made under this Part
64 False information
65 Obstructing person acting under this Part
66 Contempt of ASIC
67 Concealing books relevant to investigation
68 Self‑incrimination
69 Legal professional privilege
70 Powers of Court where non‑compliance with Part
Division 8—ASIC's powers where non‑compliance with Part
71 Orders by ASIC
72 Orders in relation to securities of a body corporate
73 Orders in relation to financial products and trust property generally
75 Orders under this Division
Division 9—Evidentiary use of certain material
76 Statements made at an examination: proceedings against examinee
77 Statements made at an examination: other proceedings
78 Weight of evidence admitted under section 77
79 Objection to admission of statements made at examination
80 Copies of, or extracts from, certain books
81 Report under Division 1
82 Exceptions to admissibility of report
83 Material otherwise admissible
Division 10—Miscellaneous
84 Requirement made of a body corporate
85 Evidence of authority
86 Giving documents to natural persons
87 Place and time for production of books
88 Application of Crimes Act and Evidence Act
89 Allowances and expenses
90 Expenses of investigation under Division 1
91 Recovery of expenses of investigation
92 Compliance with Part
93 Effect of Part
93AA Enforcement of undertakings given to ASIC
Part 3A—Enforceable undertakings
93A Undertakings—registered schemes
93B Undertakings—notified foreign passport funds
93BA Undertakings by corporate director of a CCIV
Part 3B—Criminal penalties
93C Penalty for committing an offence
93D Penalty applicable to an offence committed by an individual
93E Penalty applicable to an offence committed by a body corporate
93F Meaning of benefit derived and detriment avoided because of an offence
93G Where is the penalty for an offence specified?
93H If no penalty is specified
An Act to provide for the Australian Securities and Investments Commission and certain other bodies, and for other purposes
Part 1—Preliminary
Division 1—Objects
1 Objects
(1) The objects of this Act are:
(a) to provide for the Australian Securities and Investments Commission (ASIC) which will administer such laws of the Commonwealth, a State or a Territory as confer functions and powers under those laws on ASIC; and
(b) to provide for ASIC's functions, powers and business; and
(d) to establish a Takeovers Panel, a Companies Auditors Disciplinary Board, a Financial Reporting Council, an Australian Accounting Standards Board, an Auditing and Assurance Standards Board and a Parliamentary Joint Committee on Corporations and Financial Services.
(2) In performing its functions and exercising its powers, ASIC must strive to:
(a) maintain, facilitate and improve the performance of the financial system and the entities within that system in the interests of commercial certainty, reducing business costs, and the efficiency and development of the economy; and
(b) promote the confident and informed participation of investors and consumers in the financial system; and
(d) administer the laws that confer functions and powers on it effectively and with a minimum of procedural requirements; and
(e) receive, process and store, efficiently and quickly, the information given to ASIC under the laws that confer functions and powers on it; and
(f) ensure that information is available as soon as practicable for access by the public; and
(g) take whatever action it can take, and is necessary, in order to enforce and give effect to the laws of the Commonwealth that confer functions and powers on it.
(2A) Without limiting subsection (2), ASIC must consider the effects that the performance of its functions and the exercise of its powers will have on competition in the financial system.
(3) This Act has effect, and is to be interpreted, accordingly.
Division 2—Citation
1A Short title
This Act may be cited as the Australian Securities and Investments Commission Act 2001.
Division 3—Commencement and application
2 Commencement
This Act commences at the same time as the Corporations Act 2001.
4 Application of this Act
(1) This Act applies:
(a) in this jurisdiction; and
(b) in a State that is not a referring State (but only to the extent to which the application would be within the legislative powers of the Parliament (including powers it has under paragraphs 51(xxxvii) and (xxxix) of the Constitution)); and
(c) in such external Territories (if any) as are prescribed.
(2) Without limiting paragraph (1)(c), if an external Territory is prescribed, regulations prescribing the external Territory may provide:
(a) that only some of the provisions of this Act apply in the external Territory; and
(b) that provisions that apply in the external Territory only apply in specified circumstances.
(3) If an external Territory is prescribed for the purposes of paragraph (1)(c), in a provision of this Act that applies (either generally or in particular circumstances) in the external Territory, a reference to a term covered by subsection (4) includes a reference to that external Territory (including its coastal sea).
(4) For the purposes of subsection (3), the following terms are covered:
(a) "Australia";
(b) "Commonwealth";
(c) "Territory";
(d) "this jurisdiction";
(e) a term the definition of which includes a term mentioned in paragraphs (a) to (d).
4A Application of the Criminal Code
Chapter 2 of the Criminal Code applies to all offences against this Act.
Note: Chapter 2 of the Criminal Code sets out the general principles of criminal responsibility.
Division 4—Interpretation
5 Interpretation
(1) In this Act, unless the contrary intention appears:
AASB means the Australian Accounting Standards Board.
absent from office, in relation to a holder of an office, means:
(a) absent from duty or from Australia; or
(b) unable, for any reason, to perform the functions of the office.
accounting member of the Disciplinary Board has the meaning given by subsection 203(1A).
affairs, in relation to a body corporate, has the same meaning as in section 232 of the Corporations Act.
arrangement has the meaning given by subsection 761B(1) of the Corporations Act.
ASIC means the Australian Securities and Investments Commission.
ASIC delegate means a person to whom, or a body to which, a function or power is delegated under section 102.
assist, in relation to an ASIC delegate, means:
(a) to perform functions:
(i) as a member, officer or employee of the ASIC delegate; and
(ii) in connection with the ASIC delegate's performance or exercise of a function or power delegated under section 102; or
(b) to perform services for the ASIC delegate in connection with the ASIC delegate's performance or exercise of a function or power delegated under section 102.
AUASB means the Auditing and Assurance Standards Board.
audit deficiency report has the meaning given by subsection 50C(1).
Australia means the Commonwealth of Australia and, when used in a geographical sense, includes each Territory.
Note 1: The Australian Capital Territory, the Jervis Bay Territory, the Northern Territory, Norfolk Island and the Territories of Christmas Island and of Cocos (Keeling) Islands are covered by the definition of Territory in this subsection.
Note 2: The meaning of Australia is affected by subsection 4(3) (when used in a provision applying in an external Territory).
Australian auditor means:
(a) an individual auditor; or
(b) an audit firm; or
(c) an audit company;
that is conducting, or that has conducted, audits undertaken for the purposes of the Australian Charities and Not‑for‑profits Commission Act 2012 or the Corporations Act and includes a registered company auditor who is participating in, or has participated in, audits of that kind.
benefit derived and detriment avoided:
(a) because of an offence—has the meaning given by section 93F; and
(b) because of the contravention of a civil penalty provision—has the meaning given by section 12GBCE.
books includes:
(a) a register; and
(b) financial reports or financial records, however compiled, recorded or stored; and
(c) a document; and
(ca) sustainability reports or sustainability records, however compiled, recorded or stored; and
(d) banker's books; and
(e) any other record of information.
business member of the Disciplinary Board has the meaning given by subsection 203(1A).
Chairperson means:
(a) except in Part 11 or in relation to the Disciplinary Board—the Chairperson of ASIC; and
(b) in Part 11 or in relation to the Disciplinary Board—the Chairperson of the Disciplinary Board.
Commonwealth means the Commonwealth of Australia and, when used in a geographical sense, includes each Territory.
Note: The Australian Capital Territory, the Jervis Bay Territory, the Northern Territory, Norfolk Island and the Territories of Christmas Island and of Cocos (Keeling) Islands are covered by the definition of Territory in this subsection.
contravention:
(a) in relation to an offence against a law—includes:
(i) an offence against section 6 of the Crimes Act 1914; and
(ii) an ancillary offence (within the meaning of the Criminal Code);
relating to the offence against the law; and
(b) in relation to a civil penalty provision—has a meaning affected by section 12GBCL.
Corporations Act means the Corporations Act 2001 and regulations and rules made under that Act.
corporations legislation means:
(a) this Act; and
(b) the Corporations Act.
court, except in section 248, includes a tribunal having power to require the production of documents or the answering of questions.
CSC (short for Commonwealth Superannuation Corporation) has the same meaning as in the Governance of Australian Government Superannuation Schemes Act 2011.
dealing in a financial product has the meaning given by section 766C of the Corporations Act and deal in a financial product has a corresponding meaning.
Deputy Chairperson means:
(a) in relation to the Disciplinary Board—the Deputy Chairperson of the Disciplinary Board; and
(b) in any other case—a Deputy Chairperson of ASIC.
Disciplinary Board means the Companies Auditors Disciplinary Board.
eligible employee has the same meaning as in the Superannuation Act 1976.
eligible person, in relation to a person, means a person who:
(a) if the first‑mentioned person is a body corporate (other than a CCIV)—is or has been an officer of the body within the meaning of the corporations legislation (other than the excluded provisions); or
(aa) if the first‑mentioned person is a CCIV—is or has been:
(i) an officer of the CCIV; or
(ii) an officer of an officer of the CCIV; or
(b) in any case:
(i) is or has been an employee, agent, banker, solicitor or auditor of; or
(ii) is acting, or has acted, in any other capacity on behalf of;
the first‑mentioned person.
Note: For paragraph (aa), officer is defined in this subsection.
engage in conduct:
(a) in Division 2 of Part 2—has the meaning given by subsection 12BA(2); and
(b) in the other provisions of this Act—means do an act or omit to do an act.
examination means an examination of a person pursuant to a requirement made under section 19.
excluded provisions means section 12A and Division 2 of Part 2.
expenses, in relation to an investigation under Division 1 of Part 3, includes costs and expenses incurred in relation to a proceeding begun under section 50 as a result of the investigation.
external Territory:
(a) means a Territory referred to in section 122 of the Constitution, where an Act makes provision for the government of the Territory as a Territory; but
(b) does not include a Territory covered by the definition of Territory in this subsection.
Note: The Australian Capital Territory, the Jervis Bay Territory, the Northern Territory, Norfolk Island and the Territories of Christmas Island and of Cocos (Keeling) Islands are covered by the definition of Territory in this subsection.
fail means refuse or fail.
financial product:
(a) in Division 2 of Part 2—has the meaning given by section 12BAA; and
(b) in the other provisions of this Act—has the meaning given by Division 3 of Part 7.1 of the Corporations Act.
financial service:
(a) in Division 2 of Part 2—has the meaning given by section 12BAB; and
(b) in the other provisions of this Act—has the same meaning as it has in the Corporations Act.
Note: Some provisions of of the Corporations Act have a modified meaning when applying to CCIVs (see Part 8B.7 of that Act).
Financial Services and Credit Panel means a panel convened under subsection 139(1).
foreign business law means:
(a) a law of a foreign country that regulates, or relates to the regulation of, business or persons engaged in business; or
(b) a law, or rules or regulations (however described), that an international business regulator administers or enforces.
foreign country includes:
(a) a part of a foreign country; and
(b) when used in a provision of this Act that does not apply (either generally or in particular circumstances) to a particular external Territory—that external Territory (but only to the extent that the provision does not apply in that external Territory).
FRC means the Financial Reporting Council.
give has:
(a) in relation to a document—a meaning affected by section 86; and
(b) in relation to information—a meaning affected by section 6.
hearing, in this section and Part 3, means a hearing before ASIC and, in sections 52, 54, 55 and 56, includes a part of such a hearing.
House means a House of the Parliament.
information has a meaning affected by section 6.
international accounting standards means accounting standards made by:
(a) the International Accounting Standards Board; or
(b) another body specified by the regulations.
international auditing standards means auditing standards made by:
(a) the International Auditing and Assurance Standards Board; or
(b) another body specified by the regulations.
international business regulator means a body that satisfies the following conditions:
(a) the body has functions relating to the regulation, in 2 or more countries, of business, or persons engaged in business;
(b) those functions are conferred on the body by:
(i) a law or laws in force in those countries; or
(ii) a treaty, or other international agreement, to which those countries are parties; or
(iii) without limiting subparagraphs (i) and (ii)—a parliament or other body established by or under a treaty, or other international agreement, to which those countries are parties.
international sustainability standards means sustainability standards made by:
(a) the International Sustainability Standards Board; or
(b) another body specified by the regulations.
Note: Sustainability standards include standards relating to climate.
investigate, in relation to ASIC, means investigate in the course of performing or exercising any of ASIC's functions and powers.
meeting means:
(a) in Part 4—a meeting of ASIC;
(c) in Part 11—a meeting of the Disciplinary Board.
member means:
(a) except in Division 2 of Part 4, in Part 10, 11, 12 or 14, or in relation to a Division, the Takeovers Panel, a Financial Services and Credit Panel, the Disciplinary Board, the FRC, the AASB or the Parliamentary Committee—a member of ASIC; and
(aa) in relation to a Financial Services and Credit Panel—a member of the panel appointed under subsection 140(1); and
(c) in Part 10 or in relation to the Takeovers Panel—a member of the Takeovers Panel; and
(d) in Part 11 or in relation to the Disciplinary Board—the Chairperson or any other member of the Disciplinary Board; and
(e) in relation to the FRC—a member of the FRC; and
(ea) in relation to the AASB—a member of the AASB; and
(eb) in relation to the AUASB—a member of the AUASB; and
(f) in Part 14 or in relation to the Parliamentary Committee—a member of the Parliamentary Committee.
Office of the AASB means the Office of the Australian Accounting Standards Board.
Office of the AUASB means the Office of the Auditing and Assurance Standards Board.
officer means:
(a) an officer within the meaning of the Corporations Act; or
(b) a provisional liquidator.
old ASIC Act means the Australian Securities and Investments Commission Act 1989 as in force from time to time before the commencement of this Act.
Panel Chairperson has the meaning given by subsection 210A(3A) (about constituting a Panel of the Disciplinary Board).
Panel of the Disciplinary Board means a Panel constituted by the Chairperson of the Disciplinary Board under section 210A to hear a particular matter.
Parliamentary Committee means the Parliamentary Joint Committee on Corporations and Financial Services.
penalty applicable:
(a) to an offence committed by an individual:
(i) in Division 2 of Part 2—has the meaning given by section 12GBCA; and
(ii) in the other provisions of this Act——has the meaning given by section 93D; and
(b) to an offence committed by a body corporate:
(i) in Division 2 of Part 2—has the meaning given by section 12GBCA; and
(ii) in the other provisions of this Act——has the meaning given by section 93E.
person has the same meaning as in Chapter 7 of the of the Corporations Act.
Note: See sections 761F (which deals with partnerships) and 761FA (which deals with multiple trustees) of the Corporations Act.
power includes an authority.
prescribed means prescribed by this Act or the regulations.
President means the President of the Takeovers Panel.
proceeding means:
(a) a proceeding in a court; or
(b) a proceeding or hearing before, or an examination by or before, a tribunal;
whether the proceeding, hearing or examination is of a civil, administrative, criminal, disciplinary or other nature.
produce, except in Part 3, includes permit access to.
professional accounting body means a body prescribed by the regulations for the purposes of this definition.
property means any legal or equitable estate or interest (whether present or future and whether vested or contingent) in real or personal property of any description and includes a thing in action and money.
record, in relation to an examination, means the whole or a part of a record made under section 24 of statements made at the examination.
regulations means regulations made under this Act.
report includes an interim report.
Schedule 2 to the Corporations Act means Schedule 2 to the Corporations Act 2001 and rules made under that Schedule.
security has the meaning given by subsection 92(5) of the Corporations Act.
senior staff member means a staff member identified as a senior staff member in a determination made under section 122A.
staff member means:
(a) a person employed under section 120; or
(b) a person engaged under subsection 121(1); or
(c) any of the officers, employees and persons who under section 12