Commonwealth Consolidated Acts

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Risk assessment report

  (1)   For the purposes of monitoring compliance with, and the operation of, this Part, the Minister may, by giving the operator of a financial market written notice, require the operator:

  (a)   to cause a risk assessment report to be prepared in relation to the market in accordance with the requirements specified in the notice; and

  (b)   to give that report to the Minister by the time specified in the notice.

  (2)   The operator must comply with the notice.

Note:   Failure to comply with this subsection is an offence (see subsection   1311(1)).

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