Legislative framework
22 The primary source of power relied upon by ASIC in this application is s 1323 of the Act. It relevantly provides:
(1) Where:
(a) an investigation is being carried out under the ASIC Act or this Act in relation to an act or omission by a person, being an act or omission that constitutes or may constitute a contravention of this Act;.
and the Court considers it necessary or desirable to do so for the purpose of protecting the interests of a person (in this section called an aggrieved person) to whom the person referred to in paragraph (a) … (in this section called the relevant person), is liable, or may be or become liable, to pay money, whether in respect of a debt, by way of damages or compensation or otherwise, or to account for financial products or other property, the Court may, on application by ASIC or by an aggrieved person, make one or more of the following orders:
…
(e) an order prohibiting a person holding money, financial products or other property, on behalf of the relevant person, or on behalf of an associate of the relevant person, from paying all or any of the money, transferring, or otherwise parting with possession of, the financial products or other property to, or to another person at the direction or request of, the person on whose behalf the money, financial products or other property, is or are held;
(f) an order prohibiting the taking or sending our of this jurisdiction, or out of Australia, by a person of money of the relevant person or of an associate of the relevant person;
(g) an order prohibiting the taking, sending or transfer by a person of financial products or other property of the relevant person, or of an associate of the relevant person:
(i) from a place in this jurisdiction to a place outside this jurisdiction (including the transfer of financial products from a register in this jurisdiction to a register outside this jurisdiction); or
(ii) from a place in Australia to a place outside Australia (including the transfer of financial products from a register in Australia to a register outside Australia);
(h) an order appointing:
(i) of the relevant person is a natural person - a receiver or trustee, having such powers as the Court orders, of the property or part of the property of that person; or
(ii) if the relevant person is a body corporate - a receiver and manager, having such powers as the Court orders, of the property or of part of the property of that person;
(j) if the relevant person is a natural person - an order requiring that person to deliver up to the Court his or her passport and such other documents as the Court thinks fit;
(k) if the relevant person is a natural person - an order prohibiting that person from leaving this jurisdiction, or Australia, without the consent of the Court.
…
(3) Where an application is made to the Court for an order under subsection (1), the Court may, if in the opinion of the Court it is desirable to do so, before considering the application, grant an interim order, being an order of the kind applied for that is expressed to have effect pending the determination of the application.
23 It can be accepted that, when the power is enlivened, this section affords the Court a broad power to protect the interests of persons to whom other persons, who may have contravened the Act, may become liable. It does so by providing a means by which the property of persons engaged in contravening conduct may be preserved such that, in the fullness of time, it will provide a source of the vindication of the rights of persons aggrieved by the conduct. Australian Securities and Investments Commission v Burnard (2007) 64 ACSR 360, [14]. There is no requirement for the demonstration of a prima facie case of liability against the persons whom are the subject of an investigation, and nor is there any requirement for ASIC to establish a threatened disposition of assets: Australian Securities and Investments Commission v Carey (No 3) (2006) 232 ALR 577, [26]. This section effectively preserves the status quo pending the completion of the investigation, and that necessarily assumes the power will exist even though the evidence necessary to establish liability has not been collected and the liability has not been established: Carey (No 3), [26].
24 The section enables ASIC to obtain orders, in the absence of a significant risk of dissipation, where it seeks asset preservation in the pursuit of its public interest role and the wider public interest considerations of protecting the interests of creditors, contributories and the public: Australian Securities and Investments Commission v Adler (2001) 38 ACSR 266, [7(c)].
25 Although the nature of the relief which the Court might grant is discretionary, a principled approach to its exercise necessitates that the severity or intrusiveness of the orders made is appropriate and proportionate to the risks which the evidence identifies. Whilst, the appointment of receivers may well be necessary for the protection of assets for the benefit of aggrieved persons who might subsequently have recourse to them: Australian Securities and Investments Commission v Burke [2000] NSWSC 694, [6]; generally a Court would only make such orders where the circumstances warrant such a drastic imposition on the rights of the parties. If restraining orders can be seen to be an adequate protection of the assets in question then there would appear to be no justification for the appointment of receivers and managers. That is a reflection of the requirement that the power may only be exercised if the orders to be made are considered to be necessary or desirable: Australian Securities and Investments Commission v Krecichwost (2007) 64 ACSR 411, [32]; and Australian Securities and Investments Commission v CFS Private Wealth Pty Ltd (2018) 129 ACSR 171, [39].
26 Nevertheless, the overriding concern is the protection of assets for those who might have recourse to them, and where there has been misappropriation of property, some inclination towards the appointment of a receiver and manager must exist: ASIC v Adler, [7(b)]. Similarly, where those in possession of the funds of other persons are shown to have acted incompetently or with an underdeveloped sense of trusteeship or fiduciary duty, the appointment of receivers and managers may be appropriate to protect the loss of assets from incompetence.
27 ASIC also relies upon s 1101B of the Act, which authorises the Court to make orders on an application for ASIC if it appears that a person has contravened a provision of Chapter 7 of the Act or any other law relating to dealings in financial products or providing financial services. The orders which the Court may make under that section are identified in subs (4), which includes:
(a) an order restraining a person from carrying on a business, or doing an act or classes of acts in relation to financial products or services, if the person has persistently contravened or is continuing to contravene a provision or provisions of Chapter 7 or any other law relating to dealing in financial products or providing financial services (see s 1101B(4)(a));
(b) an order restraining a person from acquiring, disposing of or otherwise dealing with any financial products that are specified in the order (see s 1101B(4)(e));
(c) an order restraining a person from providing any financial services that are specified in the order (see s 1101B(4)(f));
(d) an order appointing a receiver or property of a financial services licensee (see s 1101B(4)(g)).
28 ASIC further relies upon s 1324(1) of the Act, which provides:
(1) Where a person has engaged, is engaging or is proposing to engage in conduct that constituted, constitutes or would constitute:
(a) a contravention of this Act; or
(b) attempting to contravene this Act; or
(c) aiding, abetting, counselling or procuring a person to contravene this Act; or
(d) inducing or attempting to induce, whether by threats, promises or otherwise, a person to contravene this Act; or
(e) being in any way, directly or indirectly, knowingly concerned in, or party to, the contravention by a person of this Act; or
(f) conspiring with others to contravene this Act;
the Court may, on the application of ASIC, or of a person whose interests have been, are or would be affected by the conduct, grant an injunction, on such terms as the Court thinks appropriate, restraining the first‑mentioned person from engaging in the conduct and, if in the opinion of the Court it is desirable to do so, requiring that person to do any act or thing.
29 Under subs (4), the Court may grant an interim injunction pending the determination of the application. Under subs (3), a Court may grant an interim injunction where the parties consent even though the Court is not, itself, satisfied that the power exists.
30 The power to enjoin conduct granted under s 1324 is not constrained by the considerations applicable to the equitable power of the Court. However, those principles will necessarily inform the Court in reaching a state of satisfaction that the interests of justice require that the restrictions be imposed at a point in time prior to the opportunity of the Court to examine all of the evidence available.