Regulation Results
This page outlines a collection of information on our website regarding regulation. You can refine these search results using the options provided in the left-hand menu.
We will constantly review and refine these results to ensure our Director Resource Centre helps you to quickly and easily find relevant information.
Please provide your feedback on the quality of these results.
1-3
of
3
results
-
Content Type:
CDM Article
01 Feb 2013
John M Green applauds our corporate regulator’s successes on insider trading.
Back in the Wild West, before the global financial crisis (GFC), insider trading and market manipulation were thought rampant. But not today, thanks to the efforts of the Australian Securities and Investments Co...
-
Content Type:
Director Q and A
31 Jan 2013
Insider trading is the trading of securities while in possession of information which is not generally available and this is prohibited within the Corporations Act. This Q&A discusses what activities are prohibited, the various exceptions, and the penalties for individuals convicted of insider t...
-
Content Type:
Policy Submission
28 Jun 2012
This submission is in response to the Australian Government’s Exposure Draft of the Personal Liability for Corporate Fault Reform Bill 2012 (C’th)(second tranche)(the Draft Bill).
The Australian Institute of Company Directors has closely monitored the progress of the current COAG reform...