CORPORATIONS – where representative of a holder of an Australian financial services licence (“licensee”) alleged to have contravened provisions in the Corporations Act 2001 (Cth), Australian Securities and Investments Commission Act 2001 (Cth) and/or the Australian Consumer Law – whether licensee liable for conduct of representative – where representative made false and misleading representations and engaged in conduct that was misleading and deceptive – where licensee liable for conduct of representative – orders for damages CONTRACTS – where representative of licensee alleged to have breached employment agreement and/or fiduciary duties and/or engaged in misleading and deceptive conduct – where representative breached employment agreement and fiduciary duties – orders for damages
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