References

References

Anderson, H 2013 'Corporate insolvency and the protection of lost employee entitlements: issues in enforcement', Australian Journal of Labour Law, vol. 26, no. 1, pp. 75–101.

ANZ Research 2014, 'Caged Tiger: The transformation of the Asian Financial System', ANZ Insight, Issue 5 (March), www.media.anz.com/phoenix.zhtml?c
=248677&p=irol-insight (accessed 8 May 2014).

Auditor-General 2007, ASIC's Processes for Receiving and Referring for Investigation Statutory Reports of Suspected Breaches of the Corporations Act 2001, Audit Report No. 18 of 2006–07, Australian National Audit Office, Canberra.

Australian Broadcasting Corporations 2014, Four Corners, 'Banking Bad', 5 May www.abc.net.au/4corners/documents/2014/BANKING/Nguyen_CBA_Internal_Review_2006.pdf (accessed 6 May 2014).

Australian Bureau of Statistics 2013, Australian Demographic Statistics, cat. 3101.0, September, www.abs.gov.au/AUSSTATS/abs@.nsf/mf/3101.0 (accessed 7 May 2014).

—–   2013, Australian National Accounts: National Income, Expenditure and Product, cat. 5206.0, table 33 (Industry Gross Value Added, Chain volume measures, Annual), December, www.abs.gov.au/AUSSTATS/abs@.nsf/allprimarymainfeat
ures/1D1B0F41133614BCCA257CEC001CDE85?opendocument (accessed 2 May 2014).

—–   2014, Australian National Accounts: National Income, Expenditure and Product, cat. 5206.0, table 33 (industry gross value added, chain volume measures, annual), March, www.abs.gov.au/AUSSTATS/abs@.nsf/allprimarymainfeatur
es/52AFA5FD696482CACA25768D0021E2C7?opendocument (accessed 2 May 2014).

Australian Competition and Consumer Commission 2014, 'Decision making processes', www.accc.gov.au/about-us/australian-competition-consumer‑commis
sion/decision-making-processes (accessed 23 April 2014).

Australian Federal Police 2009, 'AWB Task Force investigation', Media Release, 28 August.

Australian Financial Markets Association 2013, 2013 Australian Financial Markets Report, Sydney www.afma.com.au/afmawr/_assets/main/lib90013/2013%20
afmr.pdf (accessed 7 May 2014).

Australian Government 2005, Government response to the Parliamentary Joint Committee on Corporations and Financial Services report: CLERP (Audit Reform and Corporate Disclosure) Bill 2003, March, Canberra.

—–   2007, 'Statement of Expectations for the Australian Securities and Investments Commission', 20 February.

—–   2007, Review of Sanctions for Breaches of Corporate Law: Consultation Paper, March, http://archive.treasury.gov.au/documents/1182/PDF/Review_of_Sanctio
ns.pdf (accessed 2 September 2013).

—–   2009, Prosecution Policy of the Commonwealth: Guidelines for the making of decisions in the prosecution process, 4 March, www.cdpp.gov.au/wp-content/uploads/Prosecution-Policy-of-the-Commonwealth.pdf.

—–   2010, 2010–11 Budget: Budget Paper No. 2, May, Canberra.

—–    2011, 2011–12 Budget: Budget Paper No. 2, May, Canberra.

—–   2011, Government response to the Senate Economics References Committee report—The regulation, registration and remuneration of insolvency practitioners in Australia: the case for a new framework, June, Canberra.

—–    2011, 2011–12 Mid-Year Economic and Fiscal Outlook, November, Canberra.

—–    2012, 2012–13 Budget: Budget Paper No. 2, May, Canberra.

—–    2012, 2012–13 Mid-Year Economic and Fiscal Outlook, December, Canberra.

—–   2013, 2013–14 Budget: Budget Related Paper No. 1.18, Treasury Portfolio Budget Statements, May, Canberra.

—–   2014, The Australian Government Guide to Regulation, March, www.cuttingredtape.gov.au/sites/default/files/documents/australian_government_guide_regulation.pdf (accessed 30 April 2014).

—–   2014, 2014–15 Budget: Budget Paper No. 2, May, Canberra.

—–   2014, 2014–15 Budget: Budget Related Paper No. 1.16, Treasury Portfolio Budget Statements, May, Canberra.

Australian Prudential Regulation Authority 2003, Proposed Changes to the Risk‑Weighting of Residential Mortgage lending, Discussion Paper, November, www.apra.gov.au/adi/PrudentialFramework/Documents/Proposed-changes-to-the-risk-weighting-of-residential-mortgage-lending-discussion-paper.pdf.

—–   2013, Annual Report 2013, Sydney.

—–   2014, 'APRA's governance', www.apra.gov.au/AboutAPRA/Pages/Governance
.aspx (accessed 23 April 2014).

—–   2014, Statistics: Quarterly Superannuation Performance: December 2013, 20 February, www.apra.gov.au/super/publications/pages/quarterly‑superannuatio
n-performance.aspx (accessed 7 May 2014).

Australian Securities and Investments Commission 2004, 'ASIC acts on mezzanine financing', Media Release, no. 04-157, 25 May.

—–   2007, 'ASIC launches civil penalty action against former officers of AWB', Media Release, no. 07-332, 19 December.

—–   2008, Protecting wealth in the family home: An examination of refinancing in response to mortgage stress, Report 119, www.asic.gov.au/asic/pdflib.nsf/
LookupByFileName/REP_119_Protecting_wealth_in_family_home.pdf/$file/REP_119_Protecting_wealth_in_family_home.pdf.

—–   2008, 'ASIC announces results of its strategic review', Media Release, no 08-93, 8 May.

—–   2008, 'James Hardie Group civil action', Media Release, no. 08-201, 5 September.

—–   2009, 'ASIC intervenes in low doc loan proceedings', Media Release, no. 09‑39AD, 6 March.

—–   2009, 'Opes Prime schemes of arrangement approved', Media Release, 09-135, 4 August.

—–   2009, 'ASIC to appeal permanent stay on second AWB case', Media Release, no. 09-260, 17 December.

—–   2010, Securities and investments regulation beyond the crisis, ASIC Summer School 2010 Report, www.asic.gov.au/asic/pdflib.nsf/LookupByFileName/
SS10-Summer School 2010 Report-web.pdf/$file/SS10-Summer School 2010 Report-web.pdf (accessed 27 August 2013).

—–   2010, Regulation Impact Statement, Dispute resolution requirements for consumer credit and margin lending', May.

—–   2011, 'Former ABC directors charged', Media Release, no. 11-16, 28 January.

—–   2011, 'Clients of Commonwealth Financial Planning compensated and ASIC bans former financial adviser for seven years', Media Release, no. 11-42AD, 10 March.

—–   2011, ASIC's compulsory information-gathering powers, Information Sheet 145, September, Sydney.

—–   2011, Review of financial advice industry practice, Report 251, September, Sydney.

—–   2011, 'ASIC accepts enforceable undertaking from Commonwealth Financial Planning', Media Release, no. 11-229MR, 26 October.

—–   2012, Public comment, Information Sheet 152, February, Sydney.

—–   2012, 'ASIC accepts enforceable undertaking from Commonwealth Bank', Media Release, no. 12-40, 7 March.

—–   2012, 'Statement on Securency International and Note Printing Australia', Media Release, no. 12-47, 12 March.

—–   2012, 'ASIC External Advisory Panel: Purpose, Governance and Practices Summary, March 2012', www.asic.gov.au/asic/pdflib.nsf/LookupByFileName/
EAP--Purpose-governance-and-practices--March-2012.pdf/$file/EAP--Purpose-governance-and-practices--March-2012.pdf (accessed 8 July 2013).

—–   2012, 'ASIC accepts enforceable undertaking from former Commonwealth Financial Planning adviser', Media Release, no. 12-63AD, 4 April.

—–   2012, 'ASIC External Advisory Panel: Purpose, Governance and Practices Summary', March, www.asic.gov.au/asic/pdflib.nsf/LookupByFileName/EAP--Purpose-governance-and-practices--March-2012.pdf/$file/EAP--Purpose-governance-and-practices--March-2012.pdf (accessed 8 July 2013).

—–   2012, 'ASIC provides update on Trio', Media Release, no. 12-116, 5 June.

—–   2012, 'Former ABC director found not guilty', Media Release, no. 12-117, 5 June.

—–   2012, 'Former ABC Learning Centres auditor prevented from auditing companies for five years', Media Release, no. 12-186, 8 August.

—–   2012, ASIC Service Charter, September, www.asic.gov.au/asic/pdflib.nsf/
LookupByFileName/ASIC-service-charter-published-12-September-2012.pdf/$
file/ASIC-service-charter-published-12-September-2012.pdf.

—–   2012, Annual Report 2011–12, October, Sydney.

—–   2012, 'Decision in James Hardie penalty proceedings', Media Release, no. 12‑275, 13 November.

—–   2012, 'Former Centro auditor suspended', Media Release, no. 12-288, 19 November.

—–   2013, 'ASIC accepts enforceable undertaking from Macquarie Equities Ltd', Media Release, 13-010MR, 29 January.

—–   2013, 'ASIC and CBA Storm Financial settlement', 8 March, www.asic.gov.au/asic/pdflib.nsf/LookupByFileName/ASIC-and-CBA-Storm-financial-settlement-8-March-2013.pdf/$file/ASIC-and-CBA-Storm-financial-settlement-8-March-2013.pdf (accessed 18 March 2014).

—–   2013, 'ASIC appeal upheld', Media Release, no. 13-055, 19 March.

—–   2013, 'Statement on Westpoint action', Media Release, no. 13-105, 14 May.

—–   2013, Approval and oversight of external dispute resolution schemes, Regulatory Guide 139, June, Sydney.

—–   2013, Takeovers: Exceptions to the general prohibition, Regulatory Guide 6, June, Sydney.

—–   2013, ASIC enforcement outcomes: January to June 2013, Report 360, July, Sydney.

—–   2013, Review of financial advice industry practice: Phase 2, Report 362, July, Sydney.

—–   2013, 'ASIC releases new information sheets on dispute resolution and misconduct', Media Release, no. 13-181, 18 July.

—–   2013, 'ASIC successful in appeal against Storm settlement deal', Media Release, no. 13-214, 12 August.

—–   2013, ASIC's approach to enforcement, Information Sheet 151, September, Sydney.

—–   2013, Credit licensing: Responsible lending conduct, Regulatory Guide 209, September, Sydney.

—–   2013, 'ASIC's response to ABC TV's Four Corners' questions', 30 September, http://abc.net.au/4corners/documents/RBA2013/ASIC_response.pdf (accessed 1 October 2013).

—–   2013, 'ASIC clarification – 1 October 2013' www.asic.gov.au/asic/asic.nsf/
byheadline/ASIC+clarification+–1+October+2013?openDocument (accessed 2 October 2013).

—–   2013, Annual Report 2012–13, October, Sydney.

—–   2013, Insolvency statistics: External administrators' reports (July 2012 to June 2013), Report 372, October, Sydney.

—–   2013, 'Update on Trio investigation', Media Release, no. 13-294, 29 October.

—–   2013, 'Update on ASIC's proceedings against former directors and officers of AWB Limited', Media Release, no. 13-363, 23 December.

—–   2014, ASIC enforcement outcomes: July to December 2013, Report 383, January, Sydney.

—–   2014, 'Former BG executives insider trading conviction quashed', Media Release, no. 14-042, 11 March.

–—   2014, 'ASIC reports on penalties for corporate wrongdoing', Media Release, no. 14-055, 20 March.

—–   2014, Penalties for corporate wrongdoing, Report 387, March, Sydney.

—–   2014, 'Former Kleenmaid directors ordered to stand trial', Media Release, no. 14‑064, 1 April.

—–   2014, 'ASIC bans former Commonwealth Financial Planning adviser from financial services and credit activities', Media Release, no. 14-068MR, 4 April.

Australian Securities Exchange 2007, 2006 Australian Share Ownership Study, www.asx.com.au/documents/media/shareownership_study_2006.pdf (accessed 1 May 2014).

—–   2013, 2012 Australian Share Ownership Study, May, www.asx.com.au/
documents/resources/asx-sos-2012.pdf (accessed 1 May 2014).

—–   2014, 'Corporate Overview', www.asx.com.au/about/corporate-overview.htm (accessed 13 May 2014).

Australian Securities Exchange Corporate Governance Council 2014, Corporate Governance Principles and Recommendations, 3rd Edition, Sydney.

Australian Treasury 2009, Improving protections for corporate whistleblowers: options paper, October, Canberra, http://archive.treasury.gov.au/documents/
1620/PDF/whistleblower_options_papers.pdf.

—–   2013, Review of the Trio Capital Fraud and Assessment of the Regulatory Framework, Canberra.

Ayres, I and Braithwaite, J 1992,  Responsive Regulation: Transcending the Deregulation Debate, New York: Oxford University Press.

Baldwin, R and Black, J 2008, 'Really Responsive Regulation', Modern Law Review vol. 71, no. 1, pp. 59–94.

Beal, D 2002, 'Overview of financial services post-deregulation', www.reconciliation.org.au/getfile?id=81&file=diana_beal.doc (accessed 2 May 2014).

Black, J 2012, 'Paradoxes and Failures: "New Governance" Techniques and the Financial Crisis', Modern Law Review, vol. 75, no. 6, pp. 1037–1063.

Black, J and Baldwin, R 2010, 'Really Responsive Risk-Based Regulation', University of Denver Law & Policy, vol. 32, no. 2 (April), pp. 181–212.

Bowen, C (Minister for Financial Services, Superannuation and Corporate Law) 2010, 'Overhaul of Financial Advice', Media Release, no. 36 of 2010, 26 April.

Chanthivong, A, Coleman, A and Esho, N 2003, Report on Broker-originated Lending: Results of a survey of authorised deposit-taking intuitions, undertaken by the Australian Prudential Regulation Authority, www.apra.gov.au/adi/
Documents/Report-on-Broker-Originated-Lending-Jan-03.pdf.

Cole, T 2006, Report of the Inquiry into certain Australian companies in relation to the UN Oil-for-Food Programme, vol. 1, Inquiry into Certain Australian Companies in Relation to the UN Oil-For-Food Programme, Sydney.

Comino, V 2011, 'Towards better corporate regulation in Australia', Australian Journal of Corporate Law, vol. 26, no. 1, pp. 6–38.

Commonwealth Ombudsman 2009, Better Practice Guide to Complaint Handling, April, Canberra.

Consumer Credit Legal Centre (NSW) Inc 2003, A report to ASIC on the finance and mortgage broker industry, published as ASIC Report 19, www.asic.gov.au/asic/pdflib.nsf/LookupByFileName/Finance_mortgagebrokers_report.pdf/$file/Finance_mortgagebrokers_report.pdf.

Consumer Financial Protection Bureau (US) 2012, Fiscal Year 2013: CFPB budget in brief, http://files.consumerfinance.gov/f/2012/02/budget-in-brief.pdf

Corporations and Markets Advisory Committee 2008, Issues in external administration, November, Sydney.

D'Aloisio, T (ASIC Chairman) 2009, 'Regulatory Response to the Financial Crisis', address to the Asia Securities Forum, Sydney, 12 October, www.asic.gov.au/
asic/pdflib.nsf/LookupByFileName/SpeechChairman_151009.pdf/$file/SpeechChairman_151009.pdf (accessed 28 August 2013).

—–   2010, 'Responding to the global financial crisis: the ASIC story', address to the Trans‑Tasman Business Circle, 30 November, www.asic.gov.au/asic/pdflib.nsf/
LookupByFileName/speech-responding-global-crisis-nov-2011.pdf/$file/speech-responding-global-crisis-nov-2011.pdf (accessed 3 October 2013).

Debelle, G (Assistant Governor, Reserve Bank of Australia) 2010 'The State of the Mortgage Market', Address to the Mortgage Innovation Conference, Sydney, 30 March, www.rba.gov.au/speeches/2010/sp-ag-300310.html.

Deloitte 2013, Dynamics of the Australian Superannuation System—The next 20 years: 2013–2033, September, www.deloitte.com/assets/Dcom-Australia/Local
%20Assets/Documents/Industries/Financial%20services/Deloitte_Dynamics_of_Superannuation_2013_report.pdf (accessed 4 June 2014).

Desai, A and Ramsay, I 2011 'The Use of Infringement Notices by ASIC for Alleged Continuous Disclosure Contraventions: Trends and Analysis', University of Melbourne Legal Studies Research Paper, no. 547, www.law.unimelb.edu.au/files/dmfile/TheUseOfInfringementNoticesByASIC1.pdf (accessed 22 August 2013).

Evans M 2012, 'ASIC's move as Groves "off the hook"', Sydney Morning Herald, 9 July, p. 1.

Fels, A and Benchley, F 2008, 'Consumer watchdog tipped to get more bite as Rudd revolution gains pace', The Age, 5 April, p. 2.

—–   2009, 'Rudd's consumer activism over the top', Sydney Morning Herald, 21 March 2009, p. 4.

Ferguson, A 2010, 'An inconvenient deal and a forgotten $226m', Sydney Morning Herald, 12 January, p. 20.

—–   2013, 'ASIC "asleep on the job" over CBA', Sydney Morning Herald, 6 August, www.smh.com.au/business/asic-asleep-on-the-job-over-cba-20130805
-2ra39.html.

—–   and Vedalgo, C 2013, 'Bank tried to hide documents from victims of banned planner', Sydney Morning Herald, 14 June, p. 1.

—–   and Christodoulou, M 2014, 'Rollo Sherriff and Meridien Wealth: How a rock‑solid institution backed the wrong planner', Sydney Morning Herald, 3 May, Business News, p. 1.

Financial Conduct Authority (UK) 2013, Business Plan 2013/14, www.fca.org.uk/static/documents/business-plan/bp-2013-14.pdf (accessed 17 September 2013).

—–   2013, Corporate governance of the Financial Conduct Authority, April, www.fca.org.uk/your-fca/documents/corporate-governance (accessed 20 March 2014).       

Financial Literacy Board 2014, Submission to the Financial System Inquiry, 28 March, http://fsi.gov.au/files/2014/04/Financial_Literacy_Board.pdf.

Financial Planning Association 2014, The Future of the Financial Planning Profession: White Paper of the Financial Planning Association of Australia, May, http://fpa.asn.au/wp-content/uploads/2014/05/2014-May_FPAWhitePaper_
The-Future-of-the-Financial-Planning-Profession_FINAL.pdf (accessed 22 May 2014).

Financial System Inquiry (Wallis, S, Beerworth, B, Carmichael, J, Harper, I and Nicholls, L) 1997, Financial System Inquiry Final Report, Australian Government Publishing Service, Canberra.

Gruen, D and Wong, T 2010, 'MySuper—Thinking Seriously about the Default Option', Address to the Australian Conference of Economists, 28 September, www.treasury.gov.au/~/media/Treasury/Publications and Media/Speeches/2010/
MySuper Thinking seriously about the default option/Downloads/MySuper
_ACE.ashx (accessed 26 August 2013).

Hanrahan, P 2008, 'ASIC review should make it smarter', Australian Financial Review, 12 May, p. 63.

Hanratty, P 1997,  'The Wallis Report on the Australian Financial System: Summary and Critique', Parliamentary Library Research Paper, no. 16 1996–97, www.aph.gov.au/About_Parliament/Parliamentary_Departments/Parliamentary_Library/pubs/rp/RP9697/97rp16 (accessed 20 August 2013).

Harris, J and Legg, M 2009 'What price investor protection? Class actions vs corporate rescue', Insolvency Law Journal, vol. 17, no. 4, pp. 185–205.

Hockey, J (Treasurer) 2013, 'Financial System Inquiry', Media Release, 20 December.

Horne, N 2012, 'The Commonwealth efficiency dividend: an overview', Parliamentary Library Background Note, 13 December, Canberra: Australian Parliamentary Library, http://parlinfo.aph.gov.au/parlInfo/download/library/prs
pub/2105255/upload_binary/2105255.pdf;fileType=application%2Fpdf (accessed 31 July 2013).

House of Representatives Standing Committee on Economics, Finance and Public Administration 2007, Home loan lending: Inquiry into home loan lending practices and the processes used to deal with people in financial difficulty, Parliamentary Paper No. 191/2007, Parliament of Australia, Canberra.

Innovation & Business Skills Australia 2014, Environment Scan 2013: Financial Services Industry, www.ibsa.org.au/sites/default/files/media/Escan%202013%20
Financial%20Services%20Industry.pdf (accessed 8 May 2014).

International Monetary Fund 2012, Australia: Financial System Stability Assessment, IMF Country Report, no. 12/308, November, www.imf.org/external/pubs/cat/
longres.aspx?sk=40107.0.

—–   2012, Australia: IOSCO Objectives and Principles of Securities Regulation—Detailed Assessment of Implementation, IMF Country Report, no. 12/314, www.imf.org/external/pubs/cat/longres.aspx?sk=40116.0.

Joint Select Committee on Corporations Legislation 1989, Report, April, Parliamentary Paper No. 117/1989, Parliament of Australia, Canberra.

Jones, E 2009, 'The Crisis and the Australian Financial Sector', Journal of Australian Political Economy, no. 64 (Summer), pp. 91–116.

Kingsford Smith, D 2011, 'A Harder Nut to Crack? Responsive Regulation in the Financial Services Sector', University of British Columbia Law Review, vol. 44, no. 3 (September), pp. 695–741.

—–   'ASIC regulation for the investor as consumer', Company and Securities Law Journal, vol. 29, no. 5, pp. 327–54.

Leighton Holdings 2012, 'Leighton cooperating fully with AFP on possible breach of Code of Ethics', Media Release, 13 February.

—–   2013, 'Response to allegations in newspaper articles in Fairfax media', Media Release, 3 October.

Lucy, J (Acting Chairman, ASIC) 2004, Address to the Institute of Chartered Accountants in Australia Queensland 2004 CA Business Forum, Sanctuary Cove, Queensland, 13 March, www.asic.gov.au/asic/pdflib.nsf/LookupByFile
Name/ICAA_speech_130304.pdf/$file/ICAA_speech_130304.pdf (accessed 5 September 2013), p. 2.

Maddock, R 2014, 'Superannuation asset allocations and growth projections', Paper prepared for the Financial Services Council, 17 February, www.fsc.org.au/downloads/uploaded/2014_0226_140226- FSC Maddock- Capital Flows Report FINAL_2d88.pdf (accessed 11 May 2014).

Maiden, M 2013, 'ASIC must act fast on graft claims', Sydney Morning Herald, 4 October, p. 28.

McKenzie, N and Baker, R 2013, 'Wal King "approved Iraq bribe"', Australian Financial Review, 3 October, p. 1.

Medcraft, G (ASIC Chairman) 2012, 'Surveillance doesn’t remove the risk factor', Australian Financial Review, 17 September 2012, www.afr.com/p/opinion/
surveillance_doesn_remove_the_risk_oNBHQBe3NazSNp8uwzRJ0I (accessed 10 July 2013).

—–   2013, ABC Lateline, 11 October, www.abc.net.au/lateline/content/2013/
s3867665.htm (accessed 14 October 2013).

—–   2013, 'Setting the record straight: ASIC, bribery and enforcement action', Address to the AmCham Business Leaders Lunch, 11 October, www.asic.gov.au (accessed 14 October 2013).

Mitchell, J 2013, 'ASIC questions Whitehaven hoaxer', Australian Financial Review, 25 January, p. 10.

Monash Business Policy Forum 2013, Agenda for National Competition Policy Inquiry (2013), November, www.buseco.monash.edu.au/mbpf/agenda.pdf (accessed 21 November 2013).

Organisation for Economic Co-operation and Development 2006, 'The Importance of Financial Education', Policy Brief, www.oecd.org/finance/financial-education/37087833.pdf.

—–   2009, Financial Literacy and Consumer Protection: Overlooked Aspects of the Crisis, OECD Recommendation on good practices on financial education and awareness relating to credit, www.oecd.org/finance/financial-markets/
43138294.pdf.

—–   2012, Phase 3 Report on implementing the OECD Anti-Bribery Convention in Australia, www.oecd.org/daf/anti-bribery/Australiaphase3reportEN.pdf (accessed 4 October 2013).

Parliament of Victoria Law Reform Committee 2008, Inquiry into property investment advisers and marketeers: Final report, Parliamentary Paper 2006–10, no. 89, Parliament of Victoria, Melbourne.

Parliamentary Joint Committee on Corporations and Financial Services 2004, CLERP (Audit Reform and Corporate Disclosure) Bill 2003, Part 1: Enforcement, executive remuneration, continuous disclosure, shareholder participation and related matters, Parliamentary Paper No. 122/2004, Parliament of Australia, Canberra.

—–   2009, Financial products and services in Australia, Parliamentary Paper No. 321/2009, Parliament of Australia, Canberra.

—–   2012, Inquiry into the collapse of Trio Capital, Parliamentary Paper No. 138/2012,  Parliament of Australia, Canberra.

Parliamentary Joint Committee on Law Enforcement 2013, Inquiry into the gathering and use of criminal intelligence, Parliamentary Paper No. 119/2013, Parliament of Australia, Canberra.

Productivity Commission 2008, Review of Australia's Consumer Policy Framework, No. 45, 30 April, Canberra.

Reserve Bank of Australia 1999, 'Demutualisation in Australia', RBA Bulletin, January, Sydney www.rba.gov.au/publications/bulletin/1999/jan/pdf/bu-0199-1.pdf (accessed 30 April 2014).

—–   2004, Financial Stability Review, September, Sydney.

Review into the Governance, Efficiency, Structure and Operation of Australia's Superannuation System (Cooper, J, Casey, K, Evans, G, Grant, S, Gruen, G, Heffron, M, Martin, I and Wilson, B) 2010, Super System Review Final Report, Canberra.

Sandlant, R 2011, 'Consumer financial protection: future directions', Finsia Journal of Applied Finance, no. 4 of 2011, pp. 42–47.

Schwab, A 2012, 'ASIC nails "getaway driver" in ABC Learning debacle' Crikey, 14 August, www.crikey.com.au/2012/08/14/asic-nails-getaway-driver-in-abc-learning-debacle (accessed 9 October 2013);

Senate Economics References Committee 2010, The regulation, registration and remuneration of insolvency practitioners in Australia: the case for a new framework, Parliamentary Paper No. 179/2010, Parliament of Australia, Canberra.

—–   2012, The post-GFC banking sector, Parliamentary Paper No. 448/2012, Parliament of Australia, Canberra.

Shorten, B 2012 (Minister for Financial Services and Superannuation) 2012, 'Roadmap to a sustainable future for finance companies', Media Release, no. 93 of 2012, 22 December.

Sims, R (ACCC Chairman) 2011, 'ACCC: Future Directions', Address to the Law Council Competition and Consumer Workshop 2011, 28 August, Gold Coast, Queensland, www.accc.gov.au/speech/accc-future-directions (accessed 2 September 2013).

St. John, R 2012, Compensation arrangements for consumers of financial services, Australian Government, Canberra.

Susan Bell Research 2013, ASIC Stakeholder Survey 2013: Report to the Australian Securities and Investments Commission, September, www.asic.gov.au/asic/
pdflib.nsf/LookupByFileName/ASIC-stakeholder-survey-2013-1.pdf/$file/ASIC
-stakeholder-survey-2013-1.pdf  (accessed 7 May 2014).

Thomson, J 2012, 'ASIC and Eddy Groves: Not as easy as ABC', Business Spectator, 10 September, www.businessspectator.com.au/article/2012/9/10/education/
asic-and-eddy-groves-not-easy-abc (accessed 9 October 2013).

Thomson Reuters 2012, Special Report: ASIC: The Outlook for Enforcement
2012–13
, Thomson Reuters Accelus, http://accelus.thomsonreuters.com/fr/
special-report/asic-outlook-enforcement-2012-13.

Tomasic, R 2006, 'The Challenge of Corporate Law Enforcement: Future Directions for Corporations Law in Australia', University of Western Sydney Law Review vol. 10, pp. 1–18.

US House of Representatives Committee on Financial Services 2013, 'CFPB Lacks Oversight and Accountability', Media Release, 18 June, http://financialservices.house.gov/news/documentsingle.aspx?DocumentID=339512 (accessed 19 September 2013).

US Securities and Exchange Commission 2012, In Brief: FY 2013 Congressional Justification, www.sec.gov/about/secfy13congbudgjust.pdf, p. 2 (accessed 19 September 2013).

—–    2012, Fiscal Year 2012 Agency Financial Report, November, www.sec.gov/about/secpar/secafr2012.pdf (accessed 18 September 2013).

—–   2013, FY 2014 Congressional Budget Justification, www.sec.gov/about/
reports/secfy14congbudgjust.pdf (accessed 19 September 2013).

Washington, S 2010, 'ASICs powers put to the test', The Age, 5 June, p. 4.

Weinberg, M 2013, 'Some Recent Developments in Corporate Regulation – ASIC from a Judicial Perspective', Paper presented to the Monash University Law School Commercial CPD Seminar, Melbourne, 16 October, http://assets.justice.vic.gov.au/scv/resources/8ba39daa-0868-4e5f-b9ef-8bd2469
ae95a/recentdecorpregcpdseminar.pdf (accessed 15 April 2014).

Wheatley, M 2013, 'The institutionalisation of customer service', Address to the Chartered Institute for Securities & Investment, 12 March, www.fca.org.uk/news/speeches/the-institutionalisation-of-customer-service  accessed 4 March 2014).

World Bank 2014, World Development Indicators 2014, 9 April, http://data.worldbank.org/data-catalog/world-development-indicators.

Navigation: Previous Page | Contents

Top