For the purposes of section 96 of the Act, an issuer of—
debt securities must lodge with the Registrar the information specified in clause 67 of Schedule 2 within the time specified in that clause:
equity securities must lodge with the Registrar the information specified in clause 55 of Schedule 3 within the time specified in that clause:
managed investment products in a managed fund must lodge with the Registrar the information specified in clause 54 of Schedule 4 within the time specified in that clause.