| RG 1-20 RG 21-40 RG 41-60 | RG 61-80 RG 81-100 RG 101-120 | RG 121-140 RG 141-160 RG 161-180 | RG 181-RG 200 RG 201 - RG 220 RG 221 - |
RG no. | Title | Previous no. |
RG 1 | AFS Licensing Kit: Part 1 — Applying for and varying an AFS licence | |
RG 2 | AFS Licensing Kit: Part 2 — Preparing your AFS licence application | |
RG 3 | AFS Licensing Kit: Part 3 — Preparing your additional proofs | |
RG 4 | Intervention | PS 4 |
RG 5 | Relevant interests in unissued share capital | PN 5 |
RG 6 | Variation of takeover offers | PN 4 |
RG 7 | Calculating time periods | PN 19 |
RG 8 | Hearings practice manual See also our information sheet on Administrative hearings | |
RG 9 | Relevant interests in shares | PN 25 |
RG 10 | Classes of shares | PN 32 |
RG 11 | Disclosure of offerors' intentions in takeover documents | PN 35 |
RG 12 | Valuation reports and profit forecasts Superseded (see RG 111 and RG 112) | PN 43 |
RG 13 | ACN, ARBN and company names | PN 47 |
RG 14 | Receivers — retention of company records | PN 14 |
RG 15 | Enforcement action — no undertakings | PN 49 |
RG 16 | External administrators: Reporting and lodging | PN 50 |
RG 17 | Fees for subpoenas | PN 51 |
RG 18 | Serving legal documents on the ASC | PN 52 |
RG 19 | Film investment schemes | PS 19 |
RG 20 | Disclosure of convictions and proceedings | PN 20 |
RG 21 | How ASIC charges fees for relief applications | PN 58 |
RG 22 | Directors' statement as to solvency | PN 22 |
RG 23 | Updating and correcting prospectuses and application forms | PN 60 |
RG 24 | Disclosure of directors' interests — unissued shares | PN 24 |
RG 25 | Takeovers: False and misleading statements | PS 25 |
RG 26 | Resignation of auditors | PS 26 |
RG 27 | Takeovers: minimum acceptance conditions | PN 27 |
RG 28 | Relief from dual lodgment of financial reports | PN 61 |
RG 29 | Financial reporting by Australian entities in dual-listed company arrangements | PN 71 |
RG 30 | Paperless issues and transfers under a global debenture | PS 30 |
RG 31 | Acquisitions and disposals by a broker acting as principal | PS 31 |
RG 32 | Trustee companies common funds | PS 32 |
RG 33 | Security deposits | PS 33 |
RG 34 | Auditors' obligations: reporting to ASIC | PN 34 |
RG 35 | Collateral benefits in takeovers | PS 35 |
RG 36 | Licensing: Financial product advice and dealing | |
RG 37 | Takeovers — financing arrangements | PN 37 |
RG 38 | The hawking provisions | |
RG 39 | Licensed investment advisers — security deposits | PS 39 |
RG 40 | Good transaction fee disclosure for bank, building society and credit union deposit and payments products (transaction accounts) | |
RG 41 | Limited partnerships fundraising | PS 41 |
RG 42 | Independence of experts' reports Superseded (see RG 111 and RG 112) | PN 42 |
RG 43 | Financial reports and audit relief | PS 43 |
RG 44 | Annual general meeting — extension of time | PS 44 |
RG 45 | Mortgage schemes—improving disclosure for retail investors Read the regulation impact statement | |
RG 46 | Unlisted property schemes—improving disclosure for retail investors Read the regulation impact statement | |
RG 47 | Public comment | PS 47 |
RG 48 | Takeovers aspects of options over shares | PN 48 |
RG 49 | Employee share schemes | PS 49 |
RG 50 | Omission of "Limited" from company names | PS 50 |
RG 51 | Applications for relief | PS 51 |
RG 52 | Enforcement action submissions | PS 52 |
RG 53 | The use of past performance in promotional material | |
RG 54 | Principles for cross border financial services regulation | |
RG 55 | Statements in disclosure documents and PDSs: Consent to quote | PN 55 |
RG 56 | Prospectuses | PS 56 |
RG 57 | Notification of rights of review | PN 57 |
RG 58 | Reporting requirements — registered foreign companies and Australian companies with foreign company shareholders | PS 58 |
RG 59 | Announcing and withdrawing takeover bids (s653 and s746) | PN 59 |
RG 60 | Schemes of arrangement | PS 60 |
RG 61 | Underwriting — application of exemptions | PS 61 |
RG 62 | Better disclosure for investors | |
RG 63 | Access to debenture and prescribed interest registers | PS 63 |
RG 64 | Failure to lodge documents (currently under review) | PS 64 |
RG 65 | Section 1013DA disclosure guidelines | |
RG 66 | Transaction-specific disclosure | PN 66 |
RG 67 | Real estate companies | PS 67 |
RG 68 | New financial reporting and procedural requirements | PN 68 |
RG 69 | Debentures and notes: Improving disclosure for retail investors Read the regulation impact statement | |
RG 70 | Prospectuses for cash box and investment companies | PN 70 |
RG 71 | Downstream acquisitions See CP 170, 11 November 2011 | PS 71 |
RG 72 | Foreign securities prospectus relief | PS 72 |
RG 73 | Continuous disclosure obligations: Infringement notices | |
RG 74 | Acquisitions approved by members | PS 74 |
RG 75 | Independent expert reports to shareholders Superseded (see RG 111 and RG 112) | PS 75 |
RG 76 | Related party transactions | PS 76 |
RG 77 | Property trusts and property syndicates | PS 77 |
RG 78 | Breach reporting by AFS licensees | |
RG 79 | Managing conflicts of interest: An ASIC guide for research report providers | |
RG 80 | Managed investment schemes — interests not for money | PS 80 |
RG 81 | Destruction of books | PS 81 |
RG 82 | External administration: Deeds of company arrangement involving a creditor's trust | |
RG 83 | Reinstatement of companies (currently under review) | PS 83 |
RG 84 | Super switching advice: Questions and answers | |
RG 85 | Reporting requirements for non-reporting entities | |
RG 86 | Tracing beneficial ownership | PS 86 |
RG 87 | Charities | PS 87 |
RG 88 | Trustee and nominee companies | PS 88 |
RG 89 | Disclosing pro forma financial information (not yet released) | |
RG 90 | Example Statement of Advice for a limited financial advice scenario for a new client | |
RG 91 | Horse racing and breeding schemes | PS 91 |
RG 92 | Procedural fairness to third parties | PS 92 |
RG 93 | Reimbursing liquidation costs | PS 93 |
RG 94 | Unit pricing: Guide to good practice (joint publication with APRA) | |
RG 95 | Disclosing entity provisions relief | PS 95 |
RG 96 | Debt collection guideline for collectors and creditors (joint publication with ACCC) | |
RG 97 | Disclosing fees and costs in PDSs and periodic statements | |
RG 98 | Licensing: Administrative action against financial services providers | |
RG 99 | Quotation of securities offered by prospectus (s1031) | PS 99 |
RG 100 | Enforceable undertakings See also Enforceable undertakings templates | |
RG 101 | On-market buy-backs by ASX-listed schemes Read the regulation impact statement | RG 101 |
RG 102 | Tender offers by vendor shareholders | PS 102 |
RG 103 | Confidentiality and release of information | PS 103 |
RG 104 | Licensing: Meeting the general obligations | |
RG 105 | Licensing: Organisational competence | |
RG 106 | Controller duties and bank accounts | PS 106 |
RG 107 | Electronic prospectuses | PS 107 |
RG 108 | No-action letters | PS 108 |
RG 109 | Assetless administration fund: Funding criteria and guidelines | |
RG 110 | Share buy-backs | PS 110 |
RG 111 | Content of expert reports | |
RG 112 | Independence of experts | |
RG 113 | Not yet assigned | |
RG 114 | Not yet assigned | |
RG 115 | Audit relief for proprietary companies | PS 115 |
RG 116 | Commentary on compliance plans: Agricultural industry schemes | |
RG 117 | Commentary on compliance plans: Financial asset schemes | |
RG 118 | Commentary on compliance plans: Contributory mortgage schemes | |
RG 119 | Commentary on compliance plans: Pooled mortgage schemes | |
RG 120 | Commentary on compliance plans: Property schemes | |
RG 121 | Doing financial services business in Australia | |
RG 122 | Not yet assigned | |
RG 123 | Not yet assigned | |
RG 124 | Not yet assigned | |
RG 125 | Share purchase plans | PS 125 |
RG 126 | Compensation and insurance arrangements for AFS licensees Read the information release Read the regulation impact statement | |
RG 127 | Additional investments in managed investment schemes | PS 127 |
RG 128 | Collective action by institutional investors | PS 128 |
RG 129 | Business introduction or matching services | PS 129 |
RG 130 | Managed investments: Licensing (withdrawn) | PS 130 |
RG 131 | Not yet assigned | |
RG 132 | Managed investments: Compliance plans | PS 132 |
RG 133 | Managed investments: Scheme property arrangements INFO 106 provides important information relating to this RG | PS 133 |
RG 134 | Managed investments: Constitutions | PS 134 |
RG 135 | Managed investments: Transitional issues | PS 135 |
RG 136 | Managed investments: Discretionary powers and closely related schemes | PS 136 |
RG 137 | Not yet assigned | |
RG 138 | Not yet assigned | |
RG 139 | Approval of external complaints resolution schemes Read the regulation impact statement See Class Order [CO 10/249] External dispute resolution schemes (credit) See Class Order [CO 10/250] Internal dispute resolution procedures (credit) SeeCO 11/261 Trustee companies providing traditional trustee company services - deferral of start date for dispute resolution requirements | PS 139 |
RG 140 | Serviced strata schemes | PS 140 |
RG 141 | Offers of securities on the internet | PS 141 |
RG 142 | Schemes of arrangement and ASIC review Supereseded by RG 60 | PS 142 |
RG 143 | Takeovers provisions: Warrants | PS 143 |
RG 144 | Mortgage investment schemes | PS 144 |
RG 145 | Collateral benefits — Takeovers funding and pre-bid purchases | PS 145 |
RG 146 | Licensing: Training of financial product advisers | PS 146 |
RG 147 | Mutuality — Financial institutions | PS 147 |
RG 148 | Investor directed portfolio services | PS 148 |
RG 149 | Nominee and custody services | PS 149 |
RG 150 | Electronic applications and dealer personalised applications | PS 150 |
RG 151 | Fundraising: Discretionary powers | PS 151 |
RG 152 | Lodgment of disclosure documents | PS 152 |
RG 153 | Not yet assigned | |
RG 154 | Certificate by a qualified accountant | PS 154 |
RG 155 | Debenture prospectuses | PS 155 |
RG 156 | Advertising of debentures and notes to retail investors Read the regulation impact statement | |
RG 157 | Financial reports for offer information statements | PS 157 |
RG 158 | Advertising and publicity for offers of securities | PS 158 |
RG 159 | Takeovers, compulsory acquisitions and substantial holdings | PS 159 |
RG 160 | Time-sharing schemes | PS 160 |
RG 161 | Share and interest sale facilities Read the business cost calculation report | |
RG 162 | Internet discussion sites | IPS 162 |
RG 163 | Takeovers: Minimum bid price principle: s621 | PS 163 |
RG 164 | Superseded (see RG 104 and RG 105) | |
RG 165 | Licensing: Internal and external dispute resolution Read the regulation impact statement See Class Order [CO 10/249] External dispute resolution schemes (credit) See Class Order [CO 10/250] Internal dispute resolution procedures (credit) See [CO 10/517] Internal dispute resolution (credit - unlicensed COI lenders) SeeCO 11/261 Trustee companies providing traditional trustee company services - deferral of start date for dispute resolution requirements | PS 165 |
RG 166 | Licensing: Financial requirements A draft updated RG 166 was released as Appendix 1 to REP 259 Response to submissions on CP 140 Responsible entities: Financial requirements | PS 166 |
RG 167 | Licensing: Discretionary powers | PS 167 |
RG 168 | Disclosure: Product Disclosure Statements (and other disclosure obligations) | PS 168 |
RG 169 | Disclosure: Discretionary powers | PS 169 |
RG 170 | Prospective financial information | PS 170 |
RG 171 | Anomalies and issues in the takeover provisions | PS 171 |
RG 172 | Australian market licences: Australian operators | PS 172 |
RG 173 | Disclosure for on-sale of securities and other financial products | PS 173 |
RG 174 | Externally administered companies: Financial reporting and AGMs | PS 174 |
RG 175 | Licensing: Financial product advisers — conduct and disclosure | PS 175 |
RG 176 | Licensing: Discretionary powers — wholesale foreign financial services providers | PS 176 |
RG 177 | Australian market licences: Overseas operators | PS 177 |
RG 178 | Foreign collective investment schemes | PS 178 |
RG 179 | Managed discretionary account services | PS 179 |
RG 180 | Auditor registration | PS 180 |
RG 181 | Licensing: Managing conflicts of interest | PS 181 |
RG 182 | Dollar disclosure | PS 182 |
RG 183 | Approval of financial services sector codes of conduct | PS 183 |
RG 184 | Superannuation: Delivery of product disclosure for investment strategies Read the regulation impact statement | PS 184 |
RG 185 | Non-cash payment facilities Read the regulation impact statement | PS 185 |
RG 186 | External administration: liquidator registration Read the regulation impact statement | PS 186 |
RG 187 | Auditor rotation | PS 187 |
RG 188 | Disclosure in reconstructions Read the regulation impact statement | PS 188 |
RG 189 | Disclosure relief for rights issues | |
RG 190 | Offering securities in New Zealand and Australia under mutual recognition | |
RG 191 | Superannuation: helping investors look at longer-term returns—ASIC’s best practice guide (Withdrawn 5/6/2009) | |
RG 192 | Licensing: wholesale equity venture capital schemes | |
RG 193 | Notification of directors' interests in securities—listed companies | |
RG 194 | Insurance requirements for registered liquidators | |
RG 195 | Group purchasing bodies for insurance and risk products | |
RG 196 | Short selling | |
RG 197 | Warrants: Out-of-use notices | |
RG 198 | Unlisted disclosing entities: Continuous disclosure obligations | |
RG 199 | Broadening the rights issue and dividend reinvestment plan exceptions for takeovers | |
RG 200 | Advice to super fund members Read the regulation impact statement | |
RG 201 | Unsolicited credit cards and debit cards | |
RG 202 | Credit registration and transition | |
RG 203 | Do I need a credit licence? | |
RG 204 | Applying for and varying a credit licence | |
RG 205 | Credit licensing: General conduct obligations | |
RG 206 | Credit licensing: Competence and training RIS | |
RG 207 | Credit licensing: Financial requirements RIS | |
RG 208 | How ASIC charges fees for credit relief applications | |
RG 209 | Credit licensing: Responsible lending conduct RIS | |
RG 210 | Compensation and insurance arrangements for credit licensees RIS | |
RG 211 | Clearing and settlement facilities: Australian and overseas operators | |
RG 212 | Client money relating to dealing in OTC derivatives | |
RG 213 | Facilitating debt raising | |
RG 214 | Guidance on ASIC market integrity rules for ASX and ASX 24 market | |
RG 215 | Guidance on ASIC market integrity rules for APX, IMB, NSXA and SIM VSE markets | |
RG 216 | Markets Disciplinary Panel | |
RG 217 | Duty to prevent insolvent trading: Guide for directors | |
RG 218 | Licensing: Administrative action against persons engaging in credit activities | |
RG 219 | Non-standard margin lending facilities: Disclosure to investors | |
RG 220 | Early termination fees for residential loans: Unconscionable fees and unfair contract terms RIS | |
RG 221 | Facilitating online financial services disclosures | |
RG 222 | Substantial holding disclosure: Securities lending and prime broking | |
RG 223 | Guidance on ASIC market integrity rules for competition in exchange markets RIS | |
RG 224 | Guidance on ASIC market integrity rules for the Chi-X market | |
RG 225 | Markets Disciplinary Panel practices and procedures | |
RG 226 | Guidance on ASIC market integrity rules for capital and related requirements: ASX and ASX 24 markets | |
RG 227 | Over-the-counter contracts for difference: Improving disclosure for retail investors RIS | |
RG 228 | Prospectuses: Effective disclosure for retail investors | |
RG 229 | Superannuation forecasts | |
RG 230 | Disclosing non-IFRS financial information Read the regulatory impact statement | |
RG 231 | Infrastructure entities: Improving disclosure for retail investors Read the regulatory impact statement (PDF 454KB) | |
RG 232 | Agribusiness managed investment schemes: Improving disclosure for retail investors Read the regulatory impact statement (PDF 291KB) |