"When is a financial product not a financial product?"
|
(2004) 22 Company and Securities Law Journal 103
|
Company and Securities Law Journal
|
Australia
|
circa 2004
|
Legal Online
|
|
3
|
"Managed investment schemes: the position of directors under Chapter 5C of the Corporations Law"
|
(1999) 17 Company and Securities Law Journal 67
|
Company and Securities Law Journal
|
Australia
|
circa 1999
|
Legal Online
|
|
1
|
"Beneficiary, Investor, Citizen: Characterising Australia's super fund participants"
|
[2009] UNSWLRS 8
|
Donald, Scott
|
Australia
|
circa 2009
|
AustLII
|
|
|
Australian Securities and Investments Commission v Aboriginal Community Benefit Fund Pty Ltd
|
[2004] FCA 963; 22 ACLC 1060; 50 ACSR 9
|
Federal Court of Australia
|
Australia - Commonwealth
|
26 Jul 2004
|
AustLII
|
|
2
|
Australian Competition and Consumer Commission v Commonwealth Bank of Australia
|
[2003] FCA 1129; (2003) 133 FCR 149
|
Federal Court of Australia
|
Australia - Commonwealth
|
17 Oct 2003
|
AustLII
|
|
11
|
Visa International Service Association v Reserve Bank of Australia
|
[2003] FCA 977; (2003) 131 FCR 300
|
Federal Court of Australia
|
Australia - Commonwealth
|
19 Sep 2003
|
AustLII
|
|
76
|
Medical Benefits Fund of Australia v Cassidy
|
(2003) 135 FCR 1
|
Federal Court of Australia
|
Australia
|
circa 2003
|
Legal Online / Westlaw
|
|
103
|
Incat Australia Pty Ltd v Australian Securities and Investments Commission
|
[2000] FCA 58; (2000) 33 ACSR 462
|
Federal Court of Australia
|
Australia - Commonwealth
|
4 Feb 2000
|
AustLII
|
|
7
|
Fraser v NRMA Holdings Ltd
|
[1995] FCA 9; (1995) 55 FCR 452; (1995) 127 ALR 543; 15 ACSR 590; [1995] ATPR 41-374; 13 ACLC 132
|
Federal Court of Australia
|
Australia - Commonwealth
|
circa 1995
|
AustLII
|
|
359
|
"Regulating Financial Advisers in the UK: Lessons for Australia"
|
(2021) 44 University of New South Wales Law Journal 424
|
He, Weiping; Liu, Han-Wei
|
Australia
|
circa 2021
|
AustLII
|
|
|
Pilmer v The Duke Group Ltd (in liq)
|
[2001] HCA 31; (2001) 207 CLR 165; (2001) 180 ALR 249; (2001) 75 ALJR 1067; (2001) 38 ACSR 122; 19 ACLC 1; [2001] Aust Torts Reports 81-608; (2001) 49 ATR 324; (2001) 22 Leg Rep 27
|
High Court of Australia
|
Australia - Commonwealth
|
31 May 2001
|
AustLII
|
|
485
|
Daly v Sydney Stock Exchange Ltd
|
[1986] HCA 25; (1986) 160 CLR 371; 65 ALR 193; (1986) 60 ALJR 371; 4 ACLC 283
|
High Court of Australia
|
Australia - Commonwealth
|
22 May 1986
|
AustLII
|
|
227
|
Hospital Products Ltd v United States Surgical Corporation
|
[1984] HCA 64; (1984) 156 CLR 41; (1984) 55 ALR 417; (1984) 58 ALJR 587; 4 IPR 291
|
High Court of Australia
|
Australia - Commonwealth
|
25 Oct 1984
|
AustLII
|
|
1823
|
Securities and Exchange Commission —
|
(2002) 13 Journal of Banking and Finance Law and Practice 113
|
Journal of Banking and Finance Law and Practice
|
Australia
|
circa 2002
|
Legal Online
|
|
1
|
"Regulating ethical investment: disclosure under the Financial Services Reform Act"
|
(2002) 13 Journal of Banking and Finance Law and Practice 155
|
Journal of Banking and Finance Law and Practice
|
Australia
|
circa 2002
|
Legal Online
|
|
1
|
"Direct debits, consumer protection and payments system regulation – issues of policy and reform"
|
(2002) 13 Journal of Banking and Finance Law and Practice 77
|
Journal of Banking and Finance Law and Practice
|
Australia
|
circa 2002
|
Legal Online
|
|
3
|
"Controlling the Quality of Financial Advice"
|
[1997] Journal of Business Law 143
|
Journal of Business Law
|
United Kingdom
|
circa 1997
|
Westlaw
|
|
1
|
"Compliance Professionalism and Regulatory Community: The Australian Trade Practices Regime"
|
(1999) 26 (2) Journal of Law and Society 215
|
Journal of Law and Society
|
United Kingdom
|
circa 1999
|
HeinOnline
|
|
1
|
(1989) 11 Law & Policy 89
|
(1989) 11 Law & Policy 89
|
Law & Policy
|
United Kingdom
|
circa 1989
|
HeinOnline
|
|
1
|
"Legal Ambiguity and the Politics of Compliance: Affirmative Action Officers Dilemma"
|
(1991) 13 Law and Policy 73
|
Law and Policy
|
Netherlands
|
circa 1991
|
Springer
|
|
2
|
"Negotiated Non-Compliance: A Case Study of Regulatory Failure"
|
(1987) 9 Law and Policy 69
|
Law and Policy
|
Netherlands
|
circa 1987
|
Springer
|
|
4
|
"Shareholder Class Actions in Australia - The Perfect Storm"
|
(2008) 31 University of New South Wales Law Journal 669
|
Legg, Michael J
|
Australia
|
circa 2008
|
AustLII
|
|
15
|
"ABCs of Product Safety Re-Regulation in Japan: Asbestos, Buildings, Consumer Electrical Goods, and Schindler's Lifts, The"
|
(2006) 15 Griffith Law Review 242
|
Nottage, Luke
|
Australia
|
circa 2006
|
AustLII
|
|
1
|
"Place of Codes of Conduct in Regulating Financial Services, The"
|
(2006) 15 Griffith Law Review 333
|
Pearson, Gail
|
Australia
|
circa 2006
|
AustLII
|
|
3
|
"Talking About Regulation"
|
[1998] Public Law 77
|
Public Law
|
United Kingdom
|
circa 1998
|
Westlaw
|
|
6
|
"“ Which Arrow? ” – Rule Type and Regulatory Policy"
|
[1995] Public Law 94
|
Public Law
|
United Kingdom
|
circa 1995
|
Westlaw
|
|
4
|
Harris v Digital Pulse Pty Ltd
|
[2003] NSWCA 10; (2003) 197 ALR 626; (2003) 56 NSWLR 298; (2003) 44 ACSR 390; 54 AILR 200-051; 21 ACLC 934
|
Supreme Court of New South Wales - Court of Appeal
|
Australia - New South Wales
|
7 Feb 2003
|
AustLII
|
|
175
|
"Evaluating regulatory compliance: standards and best practice"
|
(1999) 7 Trade Practices Law Journal 62
|
Trade Practices Law Journal
|
Australia
|
circa 1999
|
Legal Online
|
|
2
|
|
|
|
|
|
|
|
|
Australian Securities and Investments Commission v Online Investors Advantage Inc
|
(2005) 23 ACLC 1929
|
|
Australia
|
circa 1929
|
IntelliConnect
|
|
2
|