
ATTACHMENT 1 TO CP 386 / ASIC Market Integrity Rules (Securities Markets) 2017
© Australian Securities and Investments Commission August 2025 Page 2
Contents
Chapter 1: Introduction ........................................................................... 4
Part 1.1 Preliminary ...................................................................... 4
Part 1.2 Waiver ............................................................................. 7
Part 1.3 Notice, notification and service of documents ................ 8
Part 1.4 Interpretation ................................................................... 8
Part 1.5 Participants of multiple Markets .................................... 35
Part 1.6 Transitional .................................................................... 35
Chapter 2: Market Participants and Representatives ........................ 37
Part 2.1 Management requirements ........................................... 37
Part 2.2 Insurance and information requirements ...................... 38
Part 2.3 Supervisory staff ........................................................... 40
Part 2.6 Foreign Participants ...................................................... 40
Chapter 3: Client relationships ............................................................ 42
Part 3.1 Clients trading in products for first time ........................ 42
Part 3.2 Trading as Principal ...................................................... 49
Part 3.3 Client instructions .......................................................... 50
Part 3.4 Reporting to Clients ...................................................... 50
Part 3.4A Multiple Markets—Single trade confirmations .............. 53
Part 3.5 Client Money and Property ........................................... 53
Part 3.6 Prohibition of advice to Client ....................................... 58
Part 3.7 Dealing in Cash Market Products ................................. 59
Part 3.8 Best execution obligation .............................................. 60
Part 3.9 Policies and procedures ................................................ 62
Part 3.10 Disclosure to clients of best execution obligation ......... 63
Part 3.11 Evidencing execution performance ............................... 64
Chapter 4: Records ............................................................................... 65
Part 4.1 Trading records ............................................................. 65
Part 4.2 Records—General ........................................................ 69
Part 4.3 Access to records.......................................................... 71
Chapter 5: Trading................................................................................. 72
Part 5.1AA Transactions to be under the operating rules of a
Market operator ............................................................................... 72
Part 5.1 Client order priority ........................................................ 72
Part 5.4 Transactions by connected persons (including persons
connected with other Market Participants) ...................................... 75
Part 5.4A Managing confidential Order information ...................... 76
Part 5.4B Order incentives ............................................................ 77
Part 5.5 Participant’s trading management arrangements ......... 78
Part 5.6 Trading System Requirements ..................................... 79
Part 5.7 Manipulative trading ...................................................... 85
Part 5.9 Fair and orderly markets ............................................... 86
Part 5.9A Trading Suspensions .................................................... 87
Part 5.10 Dealing in Cash Market Products ................................. 87
Part 5.11 Suspicious activity reporting ......................................... 89
Part 5.12 Market Bid—Announcements by Market Participant .... 90
Part 5.13 Acquisition of Cash Market Products during
the Bid Period .................................................................................. 91
Part 5.14 Market Participant acting for Bidder or Issuer ............... 92
Chapter 5A: Crossing Systems ............................................................ 93
Part 5A.1 Reporting requirements for Crossing Systems ............. 93