Securities Industry Regulations (Amendment) (Cth)

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Statutory Rules 1986 No. 1481

 

Securities Industry Regulations2

(Amendment)

I, THE GOVERNOR-GENERAL of the Commonwealth of Australia, acting with the advice of the Federal Executive Council, being advice that, as required by sub-section 150 (5) of the Securities Industry Act 1980,is consistent with resolutions of the Ministerial Council for Companies and Securities, hereby make the following Regulations under that Act.

Dated 27 June 1986.

N. M. STEPHEN

Governor-General

By His Excellency’s Command,

Lionel Bowen

Attorney-General

 

Commencement

1. These Regulations shall come into operation on 1 July 1986.

Prescribed offices under section 5 of the Act

2. Regulation 6 of the Securities Industry Regulations is amended—

(a) by adding at the end of sub-regulation (3) the following paragraphs:

“(zf) the office of Treasurer of the Northern Territory;

(zg) the office of the Public Trustee for the Northern Territory under the Public Trustee Act 1979 of the Northern Territory;

(zh) the office of the Master of the Supreme Court of the Northern Territory;

(zi) the office of the Commissioner for Corporate Affairs under section 4 of the Companies (Administration) Act 1986 of the Northern Territory”; and

(b) by omitting sub-regulation (4).

 

(S.R. 112/86)—Cat. No.  12/19.6.86

 

NOTES

1. Notified in the Commonwealth of Australia Gazette on 30 June 1986.

2. Statutory Rules 1981 No. 127 as amended to date. For previous amendments see Note 2 to Statutory Rules 1986 No. 35 and see also Statutory Rules 1986 No. 35.

Printed by Authority by the Commonwealth Government Printer

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