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Business Law
This guide contains links to Internet resources and documents in the
area of federal business law, as well as providing links to other guides
and directories which contain material on State and Territory and overseas
law. More detailed guides are also provided for topics of current interest
to the federal Parliament.
- Allens Arthur Robinson (Law Firm)
Has information on the financial services reform and corporate governance
(CLERP)
- Australia.
Parliament. Joint Committee of Public Accounts and Audit
This committee scrutinises, usually by means of public inquiry, the
performance of all Commonwealth agencies in spending the funds appropriated
to them by the Parliament
- Australia.
Parliament. Joint Committee on Corporations and Financial Services
- Australian
Bankers Association
- Australian Commercial Disputes
Centre
- Australian Competition & Consumer
Commission
- Australian Corporate Lawyers Association
- Australian Insurance Law Association
- Australian Payments Clearing Association
- Australian Prudential Regulation
Authority (APRA)
- Australian Regulatory Compliance
and Review (David Jacobson Consulting)
Articles, blogs etc on regulatory compliance, CLERP, etc
- Australian Securities
and Investments Commission
- Australian Transaction Reports
and Analysis Centre (AUSTRAC)
- Blake Dawson (commercial law firm)
Select "Publications" for a wide range of updates on current
commercial law issues
- Business Entry Point (Commonwealth
Government)
- Banking and Financial Services Ombudsman
Non government complaints mechanism for banks and some lenders and financial
advisers
- Corporations and
Markets Advisory Committee (CAMAC)
CAMAC came into being on 11 March 2002 as a result of the Financial
Services Reform Act 2001. It was previously known as the Companies and
Securities Advisory Committee (CASAC)
- Ebsworth & Ebsworth (commercial
law firm)
Select "Publications" for fnancial services and insurance
law bulletins
- Financial Ombudsman
Service
An industry organisation dealing with complaints relating to members
of the financial services industry, including life insurance, superannuation,
funds management, financial advice, stock broking, investment advice
and sales of financial or investment products
- Financial Services Institute of Australasia
- Mallesons Stephen Jaques
(commercial law firm)
- Minter Ellison (commercial law
firm)
Information and publications in several areas of commercial law [Select
"Legal Insights"]
- National Centre
for Corporate Law & Policy Research (University of Canberra)
- National Competition Council
- Productivity Commission
The government's principal advisory body on microeconomic reform. The
Commission conducts inquiries into industry and productivity in both
the public and private sectors and administers the Commonwealth's competitive
neutrality complaints mechanism
- Reserve Bank of Australia
- Treasury
- University of Melbourne.
Centre for Corporate Law and Securities Regulation
Includes a database of corporate law decisions and back issues of the
Corporate law email bulletin
For further items, search the Parlinfo
database and select Library for journal articles, books and
library publications, and Media for newspaper articles and media
releases. Although full text searchable, for copyright reasons some material
on Parlinfo may be available only to those using the Parliament House
computer network.
Journals
Encyclopedias
Government and Parliamentary reports etc
National Organisations
Publications
Legislation
National Organisations
Publications
Mallesons
Stephen Jaques publications
Overseas E-Commerce
This chronology has a few significant events, mainly dealing with company
law, and will be added to in the future.
| 1800s |
Prior to Federation, all the colonies had company legislation based
on the English Companies Act of 1862. Despite the common origins in
the English statute, however, variations in the legislation developed
around the country and it was not until the late 1950s that a momentum
towards a uniform company law began to build. |
| 1886-1889 |
Federal
Council of Australasia introduces, but fails to pass, 2 uniform
companies bills. The Australasian Joint Stock Company (Arrangement)
Bill 1897 allowed joint stock companies to make arrangements with
creditors in other colonies, while the Australasian Corporations Bill
(introduced 3 times in 1886, 1888 and 1889) would have provided for
the registration in other colonies of corporations whose activities
extended beyond one colony. (Source: FCA. 'Journals and printed papers',
& 'Official records of debates') |
| 1887-88 |
Dr
WE Hearn drafts a Code of Commercial Law for Victoria but it was
never adopted. (Source: G. Davidson, The Rise and Fall of Marvellous
Melbourne) |
| 1901 |
Section 51 (xx) of the
Commonwealth
Constitution 1901 provides for the federal Parliament to legislate
in the area of "foreign corporations, and trading or financial
corporations formed within the limits of the Commonwealth". States
continued to legislate for the incorporation (establishment) of companies. |
| 1906 |
Australian anti-trust laws begin with the Australian Industries
Preservation Act 1906 designed to protect a local manufacturer against
the International Harvester Company. Part of the legislation was declared
invalid by the High Court in its very first challenge in 1909 in Huddart
Parker & Co Pty Ltd v Moorehead and was effectively rendered
unworkable by a further successful challenge in 1913 in Adelaide
Steamship Company Limited and Others v The King and the Attorney-General
of the Commonwealth. |
| 1961-62 |
A uniform Companies Act based upon the Victorian legislation by
the States and the Commonwealth (for the ACT, NT and PNG) was passed.
However, in subsequent years the various jurisdictions did not co-ordinate
amendments. |
| 1965 |
Trade Practices Act creates a Commissioner of Trade Practices and
a Trade Practices Tribunal to examine business agreements and practices
to determine whether they were contrary to the public interest. |
| 1971 |
Because of constitutional difficulties highlighted by the High
Court in its decision in Strickland
v. Rocla Concrete Pipes Ltd, the Restrictive
Trade Practices Act is passed which repeals the Trade Practices
Act 1965 and confines itself to trading corporations. |
| 1974 |
- The Senate Select Committee on Securities and Exchange (the
Rae Committee, Parliamentary Paper no. 98/1974) recommends the
establishment of a Commonwealth regulatory body with responsibility
for the securities industry.
- Signing of the Interstate Corporate Affairs Agreement by NSW,
Victoria and Queensland. The participating states amended their
companies legislation to ensure a large degree of uniformity.
- New Trade
Practices Act repeals Restrictive Trade Practices Act 1971.
Using the corporations power the act covers monopolies, mergers
and consumer protection issues within trading corporations. The
States and Territories still need to pass fair trading legislation
to cover activities outside trading corporations eg in small businesses.
Section 7 of the act replaces the Office of the Commissioner of
Trade Practices with the Trade Practices Commission.
|
| 1976 |
Trade Practices Review Committee (Swanson Committee) report (P.P.
no. 228/1976) confirms the Trade Practices Act and makes recommendations
re boycotts etc which were implemented by the Trade
Practices Amendment Act 1978 and the Trade
Practices Amendment Act (No 2) 1978. |
| 1978 |
Establishment of a national
companies co-operative scheme. Under this scheme the Commonwealth
Parliament enacted the Companies
Act 1981 applying in the ACT and the States passed legislation
giving effect to the Commonwealth law in their jurisdictions. The
uniform law was generally known as the Companies Code. The Commonwealth
also established the National
Companies and Securities Commission (NCSC) to oversee and co-ordinate
the scheme. While the scheme delivered uniformity of text, in practice
the enforcement and administration of the scheme was not uniform,
as this was the function of the 8 state and territory corporate affairs
commissions. |
| 1987 |
Senate Standing Committee on Constitutional and Legal Affairs in
its report The Role of Parliament in relation to the National
Companies Scheme in April 1987 (P.P. no. 113/1987) concluded
that the cooperative scheme had outlived its usefulness. It unanimously
recommended that the Commonwealth introduce comprehensive legislation
to assume responsibility for all areas covered by the existing scheme.
The Committee's recommendation was founded on an opinion of Sir Maurice
Byers, QC, which asserted that the Commonwealth had the power to enact
comprehensive legislation covering company law, takeovers and the
securities and futures industries. |
| 1989 |
The Commonwealth passes the Corporations
Act 1989 to establish a national scheme of companies and securities
regulation based upon the corporations power. The Australian
Securities Commission Act replaces the NCSC with the Australian
Securities Commission. |
| 1990 |
High Court declares part of the Corporations Act 1989 invalid. In
New
South Wales v. The Commonwealth (the incorporations case)
the Court held that section 51(xx) relates only to 'formed corporations'
and that as a consequence it was constitutionally invalid for the
Commonwealth to rely on the section to legislate in respect of the
incorporation of companies.
In response, the Alice Springs Heads of Agreement was concluded in
Alice Springs on 29 June 1990, by representatives of the Commonwealth,
the States and the Northern Territory. Pursuant to this agreement,
the Commonwealth passed the Corporations
Legislation Amendment Act 1990 to apply to the Australian Capital
Territory pursuant to s 52(i) of the Commonwealth Constitution, and
the States and the Northern territory passed acts applying the Commonwealth
Law in their jurisdictions, via State legislation entitled Corporations
([name of particular State]) Act 1990 and the Corporations (Northern
Territory) Act 1990, respectively. The uniform law, now known as the
Corporations
Law, was to be found in section 82 of the Corporations Act. The
Commonwealth undertook to compensate the States for loss of income
from State regulatory bodies with the ASC taking over sole administrative
and regulatory responsibilities for corporate law. |
| 1993 |
Hilmer report (National Competition Policy) recommends
extending competition policies to more business and government sectors
on a nationwide uniform basis. |
| 1995 |
Competition
Policy Reform Act abolishes the Trade Practices Commission and
the Prices Surveillance Authority, and establishes the Australian
Competition and Consumer Commission (regulatory body) and the
National Competition Council
(advisory and research body). The Act also amends the Trade Practices
Act 1974 to extend the scope of the competition provisions to include
Commonwealth, State, and Territory government businesses. The States
are also to pass uniform mirror competition legislation. |
| 2001 |
To remedy deficiencies in the framework of corporate regulation
revealed by the High Court decisions in the cases of Re
Wakim; ex parte McNally and The
Queen v Hughes, a national Corporations
Act is passed. The act substantially re-enacts the existing Corporations
Law of the ACT as a Commonwealth Act applying throughout Australia.
The Commonwealth was referred the constitutional power to enact this
legislation by the Parliaments of each State. |
| 2003 |
Review
of the competition provisions of the Trade Practices Act
(Dawson report) recommends that competition provisions should protect
the competitive process, rather than particular competitors, and that
competition laws should be distinguished from industry policy. |
Further reading:

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