Statutory Rules 1982 No. 3661
National Companies and Securities Commission Regulations2 (Amendment)
WHEREAS it is provided by sub-section 53 (4) of the National Companies and Securities Commission Act 1979 that the power of the Governor-General to make regulations under that Act shall be exercised only in accordance with advice that is consistent with resolutions of the Ministerial Council for Companies and Securities:
AND WHEREAS the making of the following Regulation is in accordance with advice that is consistent with those resolutions:
NOW THEREFORE I, the Governor-General of the Commonwealth of Australia, acting with the advice of the Federal Executive Council, hereby make the following Regulation under the National Companies and Securities Commission Act 1979.
Dated 20 December 1982.
N. M. STEPHEN
Governor-General
By His Excellency’s Command,
Minister of State for Communications for and on behalf of the Attorney-General
Prescribed enactments for the purposes of paragraph 47 (2) (a) of the Act
Regulation 13 of the National Companies and Securities Commission Regulations is amended—
(a) by inserting after paragraph (a) the following paragraphs:
“(aa) the Companies Act, 1961 of the State of New South Wales;
(ab) The Companies Act of 1961 of the State of Queensland;
(ac) the Companies Act, 1962-1982 of the State of South Australia;
(ad) the Companies Act 1962 of the State of Tasmania;
(ae) the Companies Act 1961 of the State of Victoria;
S.R. No. 195/82 Cat. No. —Recommended retail price 20c 71/22.10.1982
(af) the Companies Act 1961 of the State of Western Australia;
(ag) the Companies Ordinance 1962 of the Australian Capital Territory;”;
(b) by inserting after paragraph (m) the following paragraphs:
“(ma) the Company Takeovers Act 1979 of the State of Queensland;
(mb) the Company Take-overs Act 1979 of the State of Western Australia;
(mc) the Company Take-overs Act, 1980 of the State of South Australia;”;
(c) by inserting after paragraph (t) the following paragraphs:
“(ta) the Securities Industry Act, 1975 of the State of New South Wales;
(tb) the Securities Industry Act 1975 of the State of Queensland;
(tc) the Securities Industry Act, 1979-1980 of the State of South Australia;
(td) the Securities Industry Act 1975 of the State of Victoria;
(te) the Securities Industry Act 1975 of the State of Western Australia;”; and
(d) by adding at the end thereof the following paragraph:
“; (za) the Securities Industry (Release of Sureties) Act 1977 of the State of Western Australia”.
NOTES
1. Notified in the Commonwealth of Australia Gazette on 31 December 1982.
2. Statutory Rules 1980 No. 5 as amended by 1981 Nos. 129 and 263; 1982 Nos. 123 and 168.
Printed by Authority by the Commonwealth Government Printer