Statutory Rules
1987 No. 1291
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 subsection
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
18 June 1987
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 1987.
Exempted transaction
2. Regulation 31 of the
Securities Industry Regulations is amended by omitting from paragraph (1) (a)
and subregulation (2) “The Sydney Stock Exchange” and substituting “Australian
Stock Exchange (Sydney)”.
Exemption of short sale
covered by exchange traded options
3. Regulation 34 of the
Securities Industry Regulations is amended by omitting from the definition of “exchange
traded options” in subregulation (1)”The Sydney Stock Exchange” and
substituting “Australian Stock Exchange (Sydney)”.
Repeal
4. Regulation 36 of the
Securities Industry Regulations is repealed.
Schedule 1
5. Schedule 1 to the
Securities Industry Regulations is amended by omitting Form 14.
(S.R.
120/87)—Cat. No. 16/2.6.1987
NOTES
1. Notified
in the Commonwealth of Australia Gazette on
25 June 1987.
2.
Statutory Rules 1981 No. 127 as amended by 1982 Nos. 124 and 125; 1983 Nos. 108
and 303; 1986 Nos. 35 and 148; 1987 No. 48.
Printed
by Authority by the Commonwealth Government Printer