Corporations Act 2001

CHAPTER 7 - FINANCIAL SERVICES AND MARKETS  

Note: This Chapter applies to a CCIV in a modified form: see Division 4 of Part 8B.7 .

PART 7.10 - MARKET MISCONDUCT AND OTHER PROHIBITED CONDUCT RELATING TO FINANCIAL PRODUCTS AND FINANCIAL SERVICES  

Division 3 - The insider trading prohibitions  

Subdivision B - The prohibited conduct  

SECTION 1043O  

1043O   POWERS OF COURT  


If, in a proceeding instituted under this Act, the Court finds that a contravention of section 1043A has occurred, the Court may, in addition to any other orders that it may make under any other provision of this Act, make such order or orders as it thinks just, including, but without limiting the generality of the above, any one or more of the following orders:


(a) an order restraining the exercise of rights attached to Division 3 financial products;


(b) an order restraining the issue of Division 3 financial products;


(c) an order restraining the acquisition or disposal of Division 3 financial products;


(d) an order directing the disposal of Division 3 financial products;


(e) an order vesting Division 3 financial products in ASIC;


(f) an order cancelling an agreement for the acquisition or disposal of Division 3 financial products;


(g) an order cancelling an Australian financial services licence;


(h) for the purpose of securing compliance with any other order made under this section, an order directing a person to do or refrain from doing a specified act.


View surrounding sectionsView surrounding sectionsBack to top


This information is provided by CCH Australia Limited Link opens in new window. View the disclaimer and notice of copyright.