LLM604 Securities and Financial Services Law
Updated: 15 November 2006| Credit Points | 6 |
| Offering | Not offered in 2007 |
| Online level | Level D - Comp/internet essential |
| Intensive School(s) | None |
| Supervised Exam | None |
| Pre-requisites | LS 291, 351, 391 or equivalent experience in corporate law |
| Co-requisites | None |
| Restrictions | LS 473 |
| Notes | postgraduate law students only |
| Combined Units | None |
| Coordinator(s) | N/A |
| Unit Description |
This unit provides a detailed study of the substantive provisions of securities regulation under the Corporations Act 2001 (Cth) and the Australian Securities and Investments Commission Act 2001 (Cth). The unit focuses on the regulation of dealings in securities and looks at how the key securities provisions interact under the broader regulatory system governing the financial products, financial services and financial markets. It will assess the role of the prospectus provisions and the investor protection mechanisms that relate to securities dealing. The topics to be examined include shares, debentures, interests in a managed investment scheme, derivatives, intermediaries, financial market and operating rules, the Australian Securities and Investments Commission (ASIC), liabilities and remedies, insider trading and takeovers. |
| Prescribed Material Mandatory |
Textbook information is only available from 2008 units onwards. |
| Recommended Material Optional |
Textbook information is only available from 2008 units onwards. |
| Disclaimer | Offer of some subjects is subject to viability. Information in these unit descriptions is subject to change prior to commencement of semester. |
