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Regulatory guides



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 -

These documents give guidance to regulated entities by:
Before 5 July 2007 some of these documents may have been issued as policy statements, practice notes, guides, guidelines or kits, or frequently asked questions.



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Superseded (see RG 111 and RG 112)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)


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