Queensland Consolidated Acts
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SECURITIES INDUSTRY (APPLICATION OF LAWS) ACT 1981
TABLE OF PROVISIONS
Long Title
Contents
Part 1--Preliminary
1. Short title
4. Interpretation
5. Interpretation of Securities Industry (Queensland) Code
Part 2--Application of laws
6. Application of Securities Industry Law
7. Application of Securities Industry Regulation
8. Fees payable
9. Amendment of regulations pursuant to agreement
10. Publication of Securities Industry (Queensland) Code
11. Publication of Securities Industry (Queensland) Regulation
12. Publication of Securities Industry (Fees) Regulation
13. Publication of provisions of amended Code or regulation
14. Interpretation of references to the applied provisions
15. Amendment of certain provisions in accordance with approval of ministerial council
15A. Exemptions from prescribed interest
Part 3--Transitional provisions
16. Exclusion of Securities Industry Act 1975 etc.
17. General provisions
18. References to Securities Industry Act 1975
19. Proceedings by or against commissioner to be proceedings by or against commission
20. Power of Minister to consent to institution of proceedings
21. Registers, funds, deposits and accounts
22. Order of court
23. Investigations
24. Licences
25. Statements by licensees
26. Accounts
27. Annual fee
28. Orders relating to dealer's bank accounts
29. Investment of deposits with stock exchanges
30. Accounts of deposits
31. Accounts of fidelity fund
32. Fidelity funds
33. Order of court establishing claim on fidelity fund
34. Preservation of records
35. Offences
36. Court may resolve difficulties
SCHEDULE 1 --
SCHEDULE 2 --
SCHEDULE 3 --
SCHEDULE 4 --
SCHEDULE 5 --
SCHEDULE 6 --
Endnotes
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