Securities Act (Externally Managed Group Investment Funds) Exemption Notice 2003

  • revoked
  • Securities Act (Externally Managed Group Investment Funds) Exemption Notice 2003: revoked, on 1 May 2013, by clause 17 of the Securities Act (Externally Managed Group Investment Funds) Exemption Notice 2013 (SR 2013/130).

Reprint as at 1 May 2013

Securities Act (Externally Managed Group Investment Funds) Exemption Notice 2003

(SR 2003/86)

  • Securities Act (Externally Managed Group Investment Funds) Exemption Notice 2003: revoked, on 1 May 2013, by clause 17 of the Securities Act (Externally Managed Group Investment Funds) Exemption Notice 2013 (SR 2013/130).


Note

Changes authorised by section 17C of the Acts and Regulations Publication Act 1989 have been made in this reprint.

A general outline of these changes is set out in the notes at the end of this reprint, together with other explanatory material about this reprint.

This notice is administered by the Financial Markets Authority.


Pursuant to the Securities Act 1978, the Securities Commission gives the following notice.