Australian Hydrocarbons NL v Green
[2006] FCA 1357
At a glance
Source factsCourt
Federal Court of Australia
Decision date
2006-10-18
Before
Gyles J
Source
Original judgment source is linked above.
Judgment (8 paragraphs)
REASONS FOR JUDGMENT 1 On 17 October 2006, orders were made pursuant to s 1322(4)(a) of the Corporations Act 2001 (Cth) (the Act) validating certain transactions entered into in breach of s 259C of the Act. These are the reasons for those orders. 2 Part 2J.2 of the Act deals with self-acquisition and control of shares. Section 259C of the Act deals with the topic of issuing or transferring shares to a controlled entity. Section 259E sets out when a company controls an entity. Section 259C(1) of the Act provides that the issue or transfer of shares (or units of shares) of a company to an entity it controls is void with exceptions which are immaterial to the present case. Section 259C(2) of the Act provides that the Australian Securities and Investments Commission (ASIC) may exempt a company from the operation of the section. The exemption has to be in writing and may be granted subject to conditions. 3 For relevant purposes, National Australia Bank Limited (NAB) (the fifth plaintiff) controls each of the other plaintiffs. Those companies are all involved in acquiring shares listed on the Australian Stock Exchange in the course of management of funds of various kinds for the benefit of others including life insurance. ASIC provided the NAB group with an exemption from the operation of s 259C(2) of the Act by virtue of an exemption dated 29 June 2000 and varied on 1 August 2000. The first problem was that the exemption expired on 29 June 2001 and was not renewed until 10 April 2003. The plaintiffs acquired a large volume of shares in NAB during the period in which there was no exemption in force. 4 I am satisfied that the circumstances are appropriate for an order to be made pursuant to s 1322(4)(a) (Re Westpac Banking Corporation (2004) 53 ACSR 288; and Re Commonwealth Bank of Australia (2005) 57 ACSR 28) if the plaintiffs satisfy the conditions in s 1322(6). 5 I am satisfied that the failure to renew was due to inadvertence. The relevant circumstances were disclosed to ASIC in the course of applying for the further exemption, which came into force on 10 April 2003. I am satisfied that the failure to seek orders pursuant to s 1322 of the Act prior to this application was also due to inadvertence. I am satisfied that there was no failure to act honestly. I am also satisfied that prejudice would be occasioned to the plaintiffs and/or the ultimate beneficiaries of funds involved if an order were not made. I am also satisfied that no substantial injustice has been or is likely to be caused to any person by the making of the orders. 6 I would require persuasion, however, that that which is to be regularised is 'essentially of a procedural nature' within the meaning of s 1322(6)(a)(i). If it is not, then the question arises as to whether the conditions set out in s 1322(6)(a) are cumulative in whole or in part, or independent. The section is as follows (so far as is relevant): '(6) The Court must not make an order under this section unless it is satisfied: