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CORPORATIONS REGULATIONS 2001 - REG 10.2.13 Obligations of securities exchange: particulars of contravention

CORPORATIONS REGULATIONS 2001 - REG 10.2.13

Obligations of securities exchange: particulars of contravention

  (1)   This regulation applies if:

  (a)   a securities exchange was required, before the FSR commencement, to lodge a statement under subsection   776(2A) of the old Corporations Act in relation to a contravention of the securities exchange's business rules or listing rules; and

  (b)   the securities exchange had not complied with the requirement before the FSR commencement; and

  (c)   the period for compliance had not expired before the FSR commencement.

  (2)   On and after the FSR commencement, the requirement is taken to be a requirement under paragraph   792B(2)(c) of the Act.

  (3)   The market licensee to which subregulation   (2) relates is taken to have complied with its obligations under paragraph   792B(2)(c) of the Act if it complies with those obligations as soon as practicable after the FSR commencement.

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