Corporations Act 2001
Note: This Chapter applies to a CCIV in a modified form: see Division 4 of Part 8B.7 .
CCH note - modifying legislative instruments: The application of Pt 7.7 is affected by the following legislative instruments that commenced or were amended on or after 1 January 2022: Class Order 14/1262: Relief for 31 Day Notice Term Deposits; the ASIC Corporations (Disclosure of Lack of Independence) Instrument 2021/125 (as amended by ASIC Corporations (Amendment) Instrument 2024/554); and the ASIC Corporations (Investor Directed Portfolio Services) Instrument 2023/669 (as amended by ASIC Corporations (Amendment) Instrument 2024/554).
For other legislative instruments or class orders that affect the application of Pt 7.7, please consult the legislative instruments or class orders directly. These are reproduced in the regulatory-resources section of the company-law practice area in CCH iKnowConnect.
CCH Note: Division 7 is modified by the ASIC Corporations (Incidental Retail Cover) Instrument 2022/716; and the ASIC Corporations (Investor Directed Portfolio Services) Instrument 2023/669.
CCH Note: Subdivision A is modified by the ASIC Corporations (Incidental Retail Cover) Instrument 2022/716; and the ASIC Corporations (Investor Directed Portfolio Services) Instrument 2023/669.
CCH Note: Section 952G is modified by the ASIC Corporations (Incidental Retail Cover) Instrument 2022/716; and the ASIC Corporations (Investor Directed Portfolio Services) Instrument 2023/669.
For the purposes of this section, a financial services licensee provides disclosure material to an authorised representative of the licensee if: (a) the licensee authorises the distribution by the representative of a disclosure document or statement, being a Financial Services Guide, a Supplementary Financial Services Guide or website disclosure information; or (b) the licensee provides the representative with a disclosure document or statement, being:
(i) a Statement of Advice; or
(ii) a Cash Settlement Fact Sheet; or
(c) the licensee provides the representative with information:
(iii) information, a statement or a copy of a record required by subsection 941C(5) or (7) , 941D(2) , 946AA(5) , 946B(3) , (6) or (8) or 946C(2) ; or
(i) for the purpose of it being included by the representative in a disclosure document or statement, being a Statement of Advice, a Cash Settlement Fact Sheet, or information, a statement or a copy of a record required by subsection 941C(5) or (7) , 941D(2) , 946AA(5) , 946B(3) , (6) or (8) or 946C(2) ; or
(ii) knowing that it is likely that it will be so included in such a document.
952G(2)
A financial services licensee commits an offence if: (a) the licensee provides disclosure material (being a disclosure document or statement) to an authorised representative of the licensee as mentioned in paragraph (1)(a) or (b) ; and (b) the disclosure document or statement is defective in a respect that does not relate to material required to be in the document or statement only because the representative is also the authorised representative of another financial services licensee.
952G(3)
For the purposes of an offence based on subsection (2) , strict liability applies to the physical element of the offence specified in paragraph (2)(b) .
Note: For strict liability , see section 6.1 of the Criminal Code .
952G(4)
A financial services licensee commits an offence if: (a) the licensee provides disclosure material (being information) to an authorised representative of the licensee as mentioned in paragraph (1)(c) ; and (b) the authorised representative includes the information in the disclosure document or statement concerned; and (c) the disclosure document or statement is defective because it includes that information (whether or not it is also defective for other reasons).
952G(5)
For the purposes of an offence based on subsection (4) , strict liability applies to the physical element of the offence specified in paragraph (4)(c) .
Note: For strict liability , see section 6.1 of the Criminal Code .
952G(6)
A financial services licensee commits an offence if: (a) the licensee provides disclosure material (being information) to an authorised representative of the licensee as mentioned in paragraph (1)(c) ; and (b) the information relates to a matter or matters, but it is only some of the information relating to the matter or matters that the disclosure document or statement concerned is required to contain; and (c) the representative prepares the disclosure document or statement on the basis that the information is all the information relating to the matter or matters that the disclosure document or statement is required to contain; and (d) the disclosure document or statement is defective because it includes only that information about the matter or matters (whether or not it is also defective for other reasons).
952G(7)
For the purposes of an offence based on subsection (6) , strict liability applies to the physical elements of the offence specified in paragraphs (6)(b) and (d) .
Note: For strict liability , see section 6.1 of the Criminal Code .
952G(8)
In any proceedings against a person for an offence based on subsection (2) , it is a defence if the person took reasonable steps to ensure that the disclosure document or statement would not be defective.
Note: A defendant bears an evidential burden in relation to the matters in subsection (8) . See subsection 13.3(3) of the Criminal Code .
952G(9)
In any proceedings against a person for an offence based on subsection (4) , it is a defence if the person took reasonable steps to ensure that the information they provided would not be such as to make the disclosure document or statement defective.
Note: A defendant bears an evidential burden in relation to the matters in subsection (9) . See subsection 13.3(3) of the Criminal Code .
952G(10)
In any proceedings against a person for an offence based on subsection (6) , it is a defence if the person took reasonable steps to ensure that the information they provided about the matter or matters would be all the information about the matter or matters that the disclosure document or statement would be required to contain.
Note: A defendant bears an evidential burden in relation to the matters in subsection (10) . See subsection 13.3(3) of the Criminal Code .
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