01908 a2200421 4500001001100000005001700011008004100028020001800069037003600087040000700123041000800130072001600138072001600154072001600170072001600186072001600202072001600218072001500234072001400249072001400263072001400277072001400291072001400305072001400319072001300333072002100346072002100367072002100388072002100409072002000430100003700450245009900487250000600586260003200592300001000624520083700634999001501471103208980620250317100413.0250312042021GB 60 eng  a9781032089805 bTaylor & FranciscGBP 41.99fBB a01 aeng7 aKFFL2thema7 aKFFM2thema7 aKFCF2thema7 aKFCM2thema7 aKFCR2thema7 aKFFK2thema7 aKJC2thema7 aKFFL2bic7 aKFFM2bic7 aKFCF2bic7 aKFCM2bic7 aKFCR2bic7 aKFFK2bic7 aKJC2bic7 aBUS0010002bisac7 aBUS0010102bisac7 aBUS0360002bisac7 aBUS0690002bisac7 a346.94092bisac1 aAngelique Nadia Sweetman McInnes10aRegulation of Financial Planning in AustraliabCurrent Practice, Issues and Empirical Analysis a1 aOxfordbRoutledgec20210630 a372 p bThis book investigates the legitimacy of the current Australian Financial Services Licensee-Authorised Representative (AFSL-AR) licensing model, as specified in the Commonwealth Corporations Act 2001. The book rectifies the deficiency in scholarly attention to this matter by developing a new conceptualised framework for the financial planning discipline. It takes into account theories in agency, legislation, legitimacy and the independent individual regulatory regimes in other professions; thereafter integrating this framework with the financial planning theory to examine the legitimacy, or what was found to be the illegitimacy of licensing advisers via multiple third party conflicted commercially oriented licensees. This book makes a very useful reference to understanding financial planning licencing model in Australia. c2583d2583