2008-06-27 | RG-193The Australian Securities and Investments Commission issued Regulatory Guide 193 to inform directors of Australian listed public companies about their obligations under section 205G of the Corporations Act 2001. The guide explains the specific requirements for notifying market operators regarding interests in securities and details how ASIC approaches breaches of these notification rules. It serves as a practical reference for ensuring compliance with statutory disclosure duties.
Issued 27 June 2008
This guide provides information for directors of Australian listed public companies about their obligations under s205G of the Corporations Act 2001 .
It explains when they must notify the market operator about their interests in securities and how ASIC approaches breaches of these requirements.
Download RG 193 (PDF 88 KB)