Document ID: chunk:federal_register_of_legislation:F2024C01249:reg:2:p19
Version: federal_register_of_legislation:F2024C01249
Segment Type: reg
Provision Reference: reg 2 (pt 19/26)
Character Range: 1584477–1588149

which arrangements apply under the Family Law Act 1975
10.2.205 Application of amendments
Division 45—Arrangements relating to certain reporting periods
10.2.206 Fund information for retail clients for financial products that have an investment component: superannuation
10.2.207 Periodic statements for retail clients for financial products that have an investment component
Division 46—Arrangements relating to passbook accounts
10.2.208 Periodic statements
10.2.209 Confirmation of transactions
Division 47—Agreements with unlicensed persons relating to the provision of financial services
10.2.210 Agreements
Division 48—Arrangements for Lloyd's
10.2.211 Lloyd's
Division 49—Hawking of certain financial products
10.2.212 Hawking of managed investment products
Division 50—Warrants or options to acquire issued securities
10.2.213 Warrants or options to acquire issued securities
Division 52—Winding up of fidelity funds if market ceases to operate
10.2.215 Winding up of fidelity funds if market ceases to operate
Part 10.5—Transitional provisions relating to the Corporate Law Economic Reform Program (Audit Reform and Corporate Disclosure) Act 2004
10.5.01 Adoption of auditing standards made by accounting profession before commencement (Act ss 1455(1) and (3))
Part 10.15—Transitional provisions relating to the Corporations Amendment (Financial Market Supervision) Act 2010
10.15.01 Application of Part 10.15
10.15.02 Amendments not to apply to certain operators of licensed markets
10.15.03 Transfer of documents
10.15.04 Notifications, consents, waivers, etc
10.15.05 Notification given by participant to operator of licensed market
10.15.06 Registers
Part 10.18—Transitional provisions relating to Corporations Amendment (Further Future of Financial Advice Measures) Act 2012
Part 10.19—Transitional matters relating to MySuper measures
10.19.01 Changes to product disclosure statements and periodic statements
Part 10.21—Application provisions relating to the Corporations Amendment (Central Clearing and Single‑Sided Reporting) Regulation 2015
10.21.01 First application of 7.5A.73—existing phase 3 reporting entities
Part 10.22—Application provisions related to the Corporations Amendment (Financial Services Information Lodgement Periods) Regulation 2015
10.22.01 Application of amendment of paragraph 7.6.04(1)(c)
10.22.02 Application of modification of subsections 916F(1) and (3)
Part 10.23—Application provisions relating to the Corporations Amendment (Remuneration Disclosures) Regulation 2016
10.23.01 Application—remuneration disclosures
Part 10.24—Application provisions relating to the Financial Services Legislation Amendment (Wholesale Margining) Regulation 2016
10.24.01 Application of regulations 7.8.01A and 7.8.06B
Part 10.25—Transition to Part 3 of the Insolvency Practice Schedule (Corporations)
10.25.01 Transition to Part 3 of the Insolvency Practice Schedule (Corporations)
10.25.02 Application of certain amendments relating to the enactment of the Insolvency Practice Schedule (Corporations)
Part 10.25—Application provisions relating to the Treasury Laws Amendment (Fair and Sustainable Superannuation) Regulations 2017
10.25.01 Application of amendment of subregulation 7.9.04(1)
Part 10.26—Application provisions related to the Corporations Amendment (Client Money) Regulations 2017
10.26.01 Application of regulation 7.8.02A
Part 10.27—Transitional provisions relating to the Treasury Laws Amendment (Putting Consumers First—Establishment of the Australian Financial Complaints Authority) Regulations 2018
10.27.01 Membership of the AFCA scheme
10.27.02 Membership of existing external dispute resolution schemes
10.27.03 Written