Document ID: chunk:federal_register_of_legislation:C2025C00185:section:994q:p6
Version: federal_register_of_legislation:C2025C00185
Segment Type: section
Provision Reference: s 994Q (pt 6/20)
Character Range: 4211648–4214979

of unauthorised alteration of Product Disclosure Statement (or Supplementary PDS)
1021L Offences of giving, or failing to withdraw, consent to inclusion of defective statement
1021M Offences relating to keeping and providing copies of Product Disclosure Statements (or Supplementary PDSs)
1021N Offence of failing to provide additional information requested under section 1017A
1021NA Offences relating to obligation to make product dashboard publicly available
1021NB Offences relating to obligation to make superannuation investment information publicly available
1021O Offences of issuer or seller of financial product failing to pay money into an account as required
1021P Offences relating to offers to which Division 5A applies
Subdivision B—Civil liability
1022A Meaning of defective and disclosure document or statement
1022B Civil action for loss or damage
1022C Additional powers of court to make orders
Part 7.9A—Product intervention orders
1023A Object
1023B Meaning of financial product—Part 7.9A
1023C Application of product intervention orders
1023D ASIC may make product intervention orders
1023E Significant detriment to retail clients
1023F ASIC to consult before making product intervention orders
1023G Commencement and duration of product intervention orders
1023H Extension of product intervention orders
1023J Amendment of product intervention orders
1023K Revocation of product intervention orders
1023L ASIC to issue public notice of product intervention orders
1023M Remaking product intervention orders
1023N Product intervention orders may require notification
1023P Enforcement of product intervention orders
1023Q Civil liability
1023R Additional powers of court to make orders
1023S Avoidance schemes—prohibition
1023T Avoidance schemes—presumption of avoidance for certain schemes in civil cases
1023U Avoidance schemes—exemption by ASIC
Part 7.10—Market misconduct and other prohibited conduct relating to financial products and financial services
Division 1—Preliminary
1040A Content of Part
1040B Treat certain instruments as if they were financial products and Division 3 financial products
Division 2—The prohibited conduct (other than insider trading prohibitions)
1041A Market manipulation
1041B False trading and market rigging—creating a false or misleading appearance of active trading etc.
1041C False trading and market rigging—artificially maintaining etc. trading price
1041D Dissemination of information about illegal transactions
1041E False or misleading statements
1041F Inducing persons to deal
1041G Dishonest conduct
1041H Misleading or deceptive conduct (civil liability only)
1041I Civil action for loss or damage for contravention of sections 1041E to 1041H
1041J Sections of this Division have effect independently of each other
1041K Division applies to certain conduct to the exclusion of State Fair Trading Acts provisions
Division 2A—Proportionate liability for misleading and deceptive conduct
1041L Application of Division
1041M Certain concurrent wrongdoers not to have benefit of apportionment
1041N Proportionate liability for apportionable claims
1041O Defendant to notify plaintiff of concurrent wrongdoer of whom defendant aware
1041P Contribution not recoverable from defendant
1041Q Subsequent actions
1041R Joining non‑party concurrent wrongdoer in the action