Compilation #18 | Effective 2025-12-05
FRBR Work URI: /akn/au/act/2011/247
These Regulations are the Autonomous Sanctions Regulations 2011.
In these Regulations:
Act means the Autonomous Sanctions Act 2011.
AFP means the Australian Federal Police.
arms or related matériel includes any of the following: weapons; ammunition; military vehicles and equipment; spare parts and accessories for the things mentioned in paragraphs (a) to (c); paramilitary equipment.
weapons;
ammunition;
military vehicles and equipment;
spare parts and accessories for the things mentioned in paragraphs (a) to (c);
paramilitary equipment.
authorised commercial activity means a sanctioned commercial activity authorised by a permit granted under paragraph 18(1)(c).
authorised import means a sanctioned import authorised by a permit granted under paragraph 18(1)(b).
authorised service means a sanctioned service authorised by a permit granted under regulation 18.
authorised supply means a sanctioned supply authorised by a permit granted under regulation 18.
bribery means:
the promise, offering or giving, to a foreign public official, directly or indirectly, of an undue advantage, for the official or another person or entity, in order that the official act or refrain from acting in a particular way in the exercise of the official’s official duties; or
the solicitation or acceptance by a foreign public official, directly or indirectly, of an undue advantage, for the official or another person or entity, in order that the official act or refrain from acting in a particular way in the exercise of the official’s official duties.
brokering services means:
the negotiation or arrangement of transactions for the purchase, sale or supply of goods and technology or of financial and technical services, including from a third country to any other third country; or
the selling or buying of goods and technology or of financial and technical services, including where they are located in third countries for their transfer to another third country.
commencement day means the day on which these Regulations commence.
controlled asset means an asset owned or controlled by a designated person or entity.
correspondent banking relationship has the meaning given in section 5 of the Anti-Money Laundering and Counter-Terrorism Financing Act 2006.
corruption means:
bribery; or
misappropriation of property.
designated asset means a controlled asset to which a designation relates under regulation 7.
designated person or entity means a person or entity that has been designated under paragraph 6(a) or 6A(1)(a), (2)(a), (4)(a), (5)(a), (8)(a) or (9)(a).
DPRK means the Democratic People’s Republic of Korea.
DPRK person or entity means any of the following: the government of the DPRK; the Workers’ Party of Korea; the Korean People’s Army; a public body, corporation or agency of the DPRK; an entity formed or incorporated in the DPRK; an official of an entity referred to in paragraph (a), (b), (c), (d) or (e); an individual who is in, or a resident of, the DPRK.
Note: A person may also be declared under paragraph 6(b) or 6A(1)(b), (2)(b), (4)(b), (5)(b), (8)(b) or (9)(b) for the purpose of preventing the person from travelling to, entering or remaining in Australia.
the government of the DPRK;
the Workers’ Party of Korea;
the Korean People’s Army;
a public body, corporation or agency of the DPRK;
an entity formed or incorporated in the DPRK;
an official of an entity referred to in paragraph (a), (b), (c), (d) or (e);
an individual who is in, or a resident of, the DPRK.
export sanctioned goods means:
the goods in the table in subregulation 4(2); and
goods designated under subregulation 4(3).
extractive or related industry means an industry engaged in any of the following: extracting raw materials from the earth; exploring or prospecting for raw materials to be extracted from the earth; refining or processing raw materials extracted from the earth.
extracting raw materials from the earth;
exploring or prospecting for raw materials to be extracted from the earth;
refining or processing raw materials extracted from the earth.
FFRY means the former Federal Republic of Yugoslavia.
financial institution means a natural or legal person that conducts, as a business, one or more of the following for, or on behalf of, a customer: the acceptance of deposits and other repayable funds from the public; the lending of money; financial leasing, other than the financial leasing of a consumer product; the transfer of money or value, other than the provision of message or other support for the purpose of transmitting money; the issue and management of means of payment; the giving of financial guarantees and commitments; trading in money market instruments; trading foreign exchange; trading in exchange instruments; trading in interest rate instruments; trading in interest index instruments; trading in transferable securities; trading in commodity futures; participation in the issue of securities and the provision of financial services in relation to the issue of securities; the management of individual or collective portfolios; the safekeeping and administration of cash or liquid securities; the investment, administration or management of funds or money; the underwriting and placement of life insurance and other insurance that is related to investments; money changing and other currency changing. 1 Credit and debit cards. 2 Cheques. 3 Travellers’ cheques. 4 Money orders. 5 Bankers’ drafts. 6 Electronic money. financial service includes: an investment service; and a service providing financial advice; and a brokering service; and insurance; and reinsurance; and financial derivatives.
the acceptance of deposits and other repayable funds from the public;
the lending of money;
financial leasing, other than the financial leasing of a consumer product;
the transfer of money or value, other than the provision of message or other support for the purpose of transmitting money;
the issue and management of means of payment;
the giving of financial guarantees and commitments;
trading in money market instruments;
trading foreign exchange;
trading in exchange instruments;
trading in interest rate instruments;
trading in interest index instruments;
trading in transferable securities;
trading in commodity futures;
participation in the issue of securities and the provision of financial services in relation to the issue of securities;
the management of individual or collective portfolios;
the safekeeping and administration of cash or liquid securities;
the investment, administration or management of funds or money;
the underwriting and placement of life insurance and other insurance that is related to investments;
money changing and other currency changing.
Examples of means of payment for paragraph (e):
1 Credit and debit cards.
2 Cheques.
3 Travellers’ cheques.
4 Money orders.
5 Bankers’ drafts.
6 Electronic money.
financial service includes:
an investment service; and
a service providing financial advice; and
a brokering service; and
insurance; and
reinsurance; and
financial derivatives.
foreign public official has the same meaning as in Division 70 of the Criminal Code.
gold, precious metals and diamonds means the following items: diamonds, whether or not worked, but not mounted or set; silver (including silver plated with gold or platinum), unwrought or in semi-manufactured forms, or in powder form; gold (including gold plated with platinum), unwrought or in semi-manufactured forms, or in powder form; base metals or silver, clad with gold, not further worked than semi-manufactured; platinum, unwrought or in semi-manufactured forms, or in powder form; base metals, silver or gold, clad with platinum, not further worked than semi-manufactured; waste and scrap of: precious metal; or metal clad with precious metal; other waste and scrap containing precious metal or precious-metal compounds, of a kind used principally for the recovery of precious metal.
diamonds, whether or not worked, but not mounted or set;
silver (including silver plated with gold or platinum), unwrought or in semi-manufactured forms, or in powder form;
gold (including gold plated with platinum), unwrought or in semi-manufactured forms, or in powder form;
base metals or silver, clad with gold, not further worked than semi-manufactured;
platinum, unwrought or in semi-manufactured forms, or in powder form;
base metals, silver or gold, clad with platinum, not further worked than semi-manufactured;
waste and scrap of:
precious metal; or
metal clad with precious metal;
other waste and scrap containing precious metal or precious-metal compounds, of a kind used principally for the recovery of precious metal.
ICTY means the International Criminal Tribunal for the former Yugoslavia.
immediate family member, of a person, means:
a spouse of the person; or
an adult child of the person; or
a spouse of an adult child of the person; or
a parent of the person; or
a brother, sister, step-brother or step-sister of the person; or
a spouse of a brother, sister, step-brother or step-sister of the person.
import sanctioned goods means goods designated under subregulation 4A(1).
insurance means an undertaking or commitment under which a person is obliged, in return for a payment, to provide a person, in the event of materialisation of a risk, with an indemnity or a benefit as determined by the undertaking or commitment.
investment service means the following services and activities: reception and transmission of orders in relation to one or more financial instruments; execution of orders on behalf of clients; dealing on own account; portfolio management; investment advice; either or both of the following: underwriting of financial instruments; placing of financial instruments on a firm commitment basis; placing of financial instruments without a firm commitment basis; any service in relation to the admission to trading on a regulated market or trading on a multilateral trading facility.
reception and transmission of orders in relation to one or more financial instruments;
execution of orders on behalf of clients;
dealing on own account;
portfolio management;
investment advice;
either or both of the following:
underwriting of financial instruments;
placing of financial instruments on a firm commitment basis;
placing of financial instruments without a firm commitment basis;
any service in relation to the admission to trading on a regulated market or trading on a multilateral trading facility.
misappropriation of property means the misappropriation or other diversion by a foreign public official for the official’s benefit or for the benefit of another person or entity, of any asset entrusted to the official because of the official’s position.
money-market instruments means instruments, other than instruments of payment, that are normally dealt in on the money market, such as treasury bills, certificates of deposit and commercial papers.
paramilitary equipment means any of the following: batons, clubs, riot sticks and similar devices of a kind used for law enforcement purposes; body armour, including: bullet-resistant apparel; and bullet-resistant pads; and protective helmets; handcuffs, leg irons and other devices used for restraining prisoners; riot protection shields; whips; parts and accessories designed or adapted for use in, or with, equipment mentioned in paragraphs (a) to (e).
batons, clubs, riot sticks and similar devices of a kind used for law enforcement purposes;
body armour, including:
bullet-resistant apparel; and
bullet-resistant pads; and
protective helmets;
handcuffs, leg irons and other devices used for restraining prisoners;
riot protection shields;
whips;
parts and accessories designed or adapted for use in, or with, equipment mentioned in paragraphs (a) to (e).
petrochemical industry means production plants for the manufacturing of petrochemical products of a kind specified in an instrument under regulation 4A.
reinsurance means:
the activity of accepting risks ceded by an insurance undertaking or by another reinsurance undertaking; or
for the association of underwriters known as Lloyd’s—the activity of accepting risks, ceded by any member of Lloyd’s, by an insurance or reinsurance undertaking other than the association of underwriters known as Lloyd’s.
sanctioned commercial activity has the meaning given by regulations 5A, 5B, 5C and 5CA, but does not include an activity specified in a legislative instrument under regulation 5D.
sanctioned import has the meaning given by regulation 4A, but does not include an activity specified in a legislative instrument under regulation 5D.
sanctioned service has the meaning given by regulation 5, but does not include an activity specified in a legislative instrument under regulation 5D.
sanctioned supply has the meaning given by regulation 4, but does not include an activity specified in a legislative instrument under regulation 5D.
sanctioned vessel has the meaning given by regulation 8.
specified Ukraine region: each of the following is a specified Ukraine region:
Crimea;
Donetsk;
Luhansk;
Sevastopol;
a region of Ukraine specified by the Minister under regulation 3B.
tradeable securities means transferable securities, other than instruments of payment, that are negotiable on the capital market, including but not limited to the following: shares in companies, or securities that are equivalent to shares in companies, partnerships or other entities, and depositary receipts in respect of such shares or securities; bonds or other forms of securitised debt, including depositary receipts in respect of such bonds or other forms of securitised debt; any other securities that give the right to acquire or sell such transferable securities, or give rise to a cash settlement.
shares in companies, or securities that are equivalent to shares in companies, partnerships or other entities, and depositary receipts in respect of such shares or securities;
bonds or other forms of securitised debt, including depositary receipts in respect of such bonds or other forms of securitised debt;
any other securities that give the right to acquire or sell such transferable securities, or give rise to a cash settlement.
vessel means a vessel or boat of any description and includes a hovercraft and any floating structure, but does not include an installation.
asset
sanction law.
Note: Other words and expressions used in these Regulations have the meaning given by section 4 of the Act, including:
If both part of a country, and the country, are specified in regulation 4, 4A or 5, the following rules apply:
for regulation 4—goods are export sanctioned goods for the part of the country if they are export sanctioned goods for the country, but are not export sanctioned goods for the country merely because they are export sanctioned goods for the part;
for regulation 4A—goods are import sanctioned goods for the part of the country if they are import sanctioned goods for the country, but are not import sanctioned goods for the country merely because they are import sanctioned goods for the part;
for regulation 5—a service is a sanctioned service for the part of the country if it is a sanctioned service for the country, but is not a sanctioned service for the country merely because it is a sanctioned service for the part.
If more than one part of a country is specified in regulation 4, 4A or 5, the parts are to be considered separately (even if one part is located within the other), and the following rules apply:
for regulation 4—goods are not export sanctioned goods for one part merely because they are export sanctioned goods for another part;
for regulation 4A—goods are not import sanctioned goods for one part merely because they are import sanctioned goods for another part;
for regulation 5—a service is not a sanctioned service for one part merely because it is a sanctioned service for another part.
The Minister may, by legislative instrument, specify a region of Ukraine for the purposes of paragraph (e) of the definition of specified Ukraine region.
(1) For these Regulations, a person makes a sanctioned supply if:
the person supplies, sells or transfers goods to another person; and
the goods are export sanctioned goods in relation to a country or part of a country; and
as a direct or indirect result of the supply, sale or transfer the goods are transferred:
to that country or part of a country; or
for use in that country or part of a country; or
for the benefit of that country or part of a country.
Goods mentioned in an item of the table are export sanctioned goods for the country or part of a country mentioned in the item.
In addition to subregulation (2), the Minister may, by legislative instrument, designate goods as export sanctioned goods for a country or part of a country mentioned in the designation.
Example: Equipment or technology related to the oil and gas industry.
(4) For these Regulations, a person also makes a sanctioned supply if the person supplies, sells or transfers an item of gold, precious metals and diamonds to another person and, as a direct or indirect result of the supply, sale or transfer, the goods are transferred to:
the government of Syria; or
a public body, corporation or agency of the government of Syria; or
a person entity or body acting on behalf or at the direction of an entity mentioned in paragraph (c) or (d); or
an entity or body owned or controlled by an entity mentioned in paragraph (c) or (d).
(1) For these Regulations, a person makes a sanctioned import if:
the person:
imports or purchases goods from another person; or
transports goods; and
the goods are import sanctioned goods for a country or part of a country.
Goods mentioned in an item of the table are import sanctioned goods for the country or part of a country mentioned in the item if:
the goods are exported from the country or part of a country; or
the goods originate in the country or part of a country.
In addition to subregulation (2), the Minister may, by legislative instrument, designate goods as import sanctioned goods for a country or part of a country mentioned in the designation.
(4) For these Regulations, a person also makes a sanctioned import if the person imports or purchases an item of gold, precious metals and diamonds from:
the government of Syria; or
a public body, corporation or agency of the government of Syria; or
a person entity or body acting on behalf or at the direction of an entity mentioned in paragraph (c) or (d); or
an entity or body owned or controlled by an entity mentioned in paragraph (c) or (d).
Subregulation (2) does not include goods originating in a specified Ukraine region which have been made available to the Ukrainian authorities for examination and for which compliance with the conditions conferring entitlement to preferential origin has been verified by the Ukrainian authorities.
Services relating to a sanctioned supply
(1) For these Regulations, a sanctioned service is the provision to a person of:
technical advice, assistance or training; or
financial assistance; or
a financial service; or
another service;
if it assists with, or is provided in relation to, a sanctioned supply.
Subregulation (1) does not apply to a sanctioned supply of an export sanctioned good for Russia mentioned in paragraph (b) of the column headed “Goods” of item 3A of the table in subregulation 4(2) (certain items relating to oil).
Services relating to a sanctioned import
(2) For these Regulations, a sanctioned service is also the provision to a person of:
financial assistance; or
a financial service;
if it assists with, or is provided in relation to, a sanctioned import.
Subregulation (2) does not apply to a sanctioned import of an import sanctioned good for Russia mentioned in the column headed “Goods” of item 1A of the table in subregulation 4A(2) (arms or related matériel).
Services relating to a sanctioned commercial activity
(2B) For these Regulations, a sanctioned service is also the provision to a person of an investment service if it assists with, or is provided in relation to, a sanctioned commercial activity.
Services relating to particular countries and particular activities
(4) For these Regulations, a sanctioned service is also, for a country or part of a country mentioned in an item of the following table, the provision to the country or part of a country, or a person for use in the country or part of a country, of:
technical advice, assistance or training; or
financial assistance; or
a financial service; or
another service;
if it assists with, or is provided in relation to, an activity mentioned in the item.
Additional services relating to Syria
(5) For these Regulations, a sanctioned service is also, for an entity or person mentioned in an item of the following table, the provision to the entity or person of:
technical advice, assistance or training; or
financial assistance; or
a financial service; or
another service;
if it assists with, or is provided in relation to, an activity involving the supply, sale, transfer, import, purchase or transport of an item of gold, precious metals and diamonds.
Additional services relating to Russia
(6) For these Regulations, a sanctioned service is also, for Russia, the provision to Russia, or to a person, entity or body for use in Russia, of a service mentioned in subregulation (7) that is necessary for any of the following categories of exploration and production projects in Russia, including its Exclusive Economic Zone and Continental Shelf:
oil exploration and production in waters deeper than 150 metres;
oil exploration and production in the offshore area north of the Arctic Circle;
projects that have the potential to produce oil from resources located in shale formations by way of hydraulic fracturing (other than exploration and production through shale formations to locate or extract oil from non-shale reservoirs).
For subregulation (6), the services are the following:
drilling;
well-testing;
logging and completion services;
supply of specialised floating vessels.
Additional services relating to the DPRK
(8) For the purposes of these Regulations, a sanctioned service is also, for the DPRK, the provision of any service to Air Koryo.
(9) For the purposes of these Regulations, a sanctioned service is also, for the DPRK, the provision to a person or entity of any service that assists with, or is provided in relation to, an extractive or related industry in the DPRK.
(10) For the purposes of these Regulations, a sanctioned service is also, for the DPRK, the provision to a person or entity of any service that assists with, or is provided in relation to, the creation, construction, installation, development, maintenance or decommissioning of infrastructure associated with an extractive or related industry in the DPRK.
(11) For the purposes of these Regulations, a sanctioned service is also, for the DPRK, the provision to a person or entity mentioned in an item of the following table of any service that assists with, or is provided in relation to, an extractive or related industry outside the DPRK.
(1) For these Regulations, sanctioned commercial activity means:
the acquisition by a person of an interest in an entity or a person mentioned in an item of the table; and
the extension by a person of an interest in an entity or a person mentioned in an item of the table; and
the establishment by a person of a joint venture with an entity or a person mentioned in an item of the table; and
participation by a person in a joint venture with an entity or a person mentioned in an item of the table (including a subsidiary of that entity or person); and
the granting by a person of a financial loan or credit to an entity or a person mentioned in an item of the table.
(2) For these Regulations, sanctioned commercial activity also means:
the sale by a person, to an entity or a person mentioned in an item of the table, of an interest in a commercial activity in Australia in any of the following sectors of the oil and gas industry:
refining of fuels;
exploration of crude oil and natural gas;
production of crude oil and natural gas;
liquefaction of natural gas; and
the making available by a person (otherwise than by sale), to an entity or a person mentioned in an item of the table, of an interest in a commercial activity in Australia in any of the following sectors of the oil and gas industry:
refining of fuels;
exploration of crude oil and natural gas;
production of crude oil and natural gas;
liquefaction of natural gas.
(3) For these Regulations, sanctioned commercial activity also means:
the opening in Australia of a representative office of an entity or person mentioned in an item of the table; and
the establishment in Australia of a branch or subsidiary of an entity or person mentioned in an item of the table; and
the conclusion by a person of an agreement, for or on behalf of an entity or person mentioned in an item of the table, related to:
the opening in Australia of a representative office of that entity or person; or
the establishment in Australia of a branch or subsidiary of that entity or person; and
the acquisition or extension of an interest in an Australian financial institution by an entity or person mentioned in an item of the table; and
the sale by a person of an interest in an Australian financial institution to an entity or person mentioned in an item of the table; and
the making available by a person (other than by sale) of an interest in an Australian financial institution to an entity or person mentioned in an item of the table.
(4) For these Regulations, sanctioned commercial activity also means:
the establishment by a financial institution of a joint venture with an entity or person mentioned in an item of the table; and
the establishment by a financial institution of a correspondent banking relationship with an entity or person mentioned in an item of the table; and
the opening by a financial institution of a representative office in Syria; and
the establishment by a financial institution of a branch or subsidiary in Syria; and
the opening by a financial institution of a bank account with an entity or person mentioned in an item of the table.
(1) For these Regulations, sanctioned commercial activity also means the direct or indirect purchase or sale of, or any other dealing with, bonds, equity, transferable securities, money market instruments or other similar financial instruments, if the financial instrument:
is issued, after the commencement of this subregulation, by an entity specified in subregulation (6); and
has a maturity period specified by the Minister in an instrument under this regulation for the financial instrument and the entity.
Subregulation (1) does not apply to an activity in relation to tradeable securities or other financial instruments that:
is a derivative product the value of which is linked to an underlying asset of a type mentioned in subsection (1); and
does not involve the purchase or sale of, or any other dealing in relation to, the underlying asset.
(3) For these Regulations, sanctioned commercial activity also means directly or indirectly making, or being part of any arrangement to make, loans or credit if the loan or credit:
is made, after the commencement of this subregulation, to an entity specified in subregulation (6); and
has a maturity period specified by the Minister in an instrument under this regulation for the financial instrument and the entity.
Subregulation (3) does not apply to loans or credit that have a specific and documented objective to provide:
financing for non-prohibited imports or exports of goods and non-financial services between Australia and Russia; or
emergency funding to meet the solvency and liquidity criteria for legal persons:
established in Australia; and
whose proprietary rights are owned for more than 50% by an entity specified by the Minister in an instrument under this regulation.
Subregulation (3) does not apply to drawdown or disbursements made under a contract concluded before the commencement of this subregulation if:
all the terms and conditions of such drawdown or disbursements:
were agreed before the commencement of this subregulation; and
have not been modified on or after the commencement of this subregulation; and
before the commencement of this subregulation, a contractual maturity date has been fixed for the repayment in full of all funds made available and for the cancellation of all the commitments, rights and obligations under the contract.
For paragraphs (1)(a) and (3)(a), the entities are the following:
a major financial institution, or other major institution that:
is incorporated, or was established, in Russia and has an explicit mandate to promote competitiveness in the Russian economy, its diversification and the encouragement of investment; and
at the commencement of this subregulation, was over 50% publicly owned or controlled; and
is specified by the Minister in an instrument under this regulation;
a body corporate or other entity that:
is incorporated, or was established, in Russia; and
is predominantly engaged in major activities relating to the development, production, sale or export of military equipment or services; and
is specified by the Minister in an instrument under this regulation;
a body corporate or other entity that:
is incorporated, or was established, in Russia; and
is publicly controlled or over 50% publicly owned; and
is involved in the sale or transportation of crude oil or petroleum products; and
is specified by the Minister in an instrument under this regulation;
a body corporate or other entity that is incorporated, or was established, outside Australia and is over 50% owned by an institution, body corporate or entity referred to in paragraph (a), (b) or (c);
a body corporate or other entity acting on behalf of, or at the direction of, an institution, body corporate or entity referred to in paragraph (a), (b), (c) or (d).
In this regulation:
terms and conditions of drawdowns and disbursements include provisions relating to:
the length of the repayment period for the drawdown or disbursement; and
the interest rate, or method of calculating the interest rate, for the drawdown or disbursement; and
the maximum amount for the drawdown or disbursement.
(1) For these Regulations, sanctioned commercial activity also means:
the granting by a person of any financial loan or credit; or
the establishment by a person of a joint venture;
relating to:
the creation, acquisition or development of infrastructure in any of the following sectors in a specified Ukraine region:
transport;
telecommunications;
energy; or
the exploitation of oil or gas, or of mineral resources specified by the Minister in an instrument under this regulation, in a specified Ukraine region.
(2) For these Regulations, sanctioned commercial activity also means the acquisition or extension by a person of an interest in an enterprise that was established in a specified Ukraine region and is engaged in an activity referred to in paragraph (1)(c) or (d).
(1) For the purposes of these Regulations, sanctioned commercial activity also means:
the acquisition or extension of an interest in a person or entity mentioned in an item of the following table; or
the establishment of, or participation in, a joint venture, partnership or other business relationship with a person or entity mentioned in an item of the following table; or
the granting of a financial loan or credit to a person or entity mentioned in an item of the following table.
(2) For the purposes of these Regulations, sanctioned commercial activity also means the sale of, or the making available of (otherwise than by sale), an interest in a commercial activity in an extractive or related industry in Australia to a person or entity mentioned in an item of the following table.
(3) For the purposes of these Regulations, sanctioned commercial activity also means:
the obtaining of any asset that is a tenement or permission (however described) in relation to an extractive or related industry in the DPRK; or
the obtaining of any asset that is a tenement or permission (however described) in relation to the creation, construction, installation, development, maintenance or decommissioning of infrastructure associated with an extractive or related industry in the DPRK; or
the use of, dealing with or making available of any asset for the purpose of obtaining any tenement or permission (however described) in relation to an extractive or related industry in the DPRK; or
the use of, dealing with or making available of any asset for the purpose of obtaining any tenement or permission (however described) in relation to the creation, construction, installation, development, maintenance or decommissioning of infrastructure associated with an extractive or related industry in the DPRK.
(4) For the purposes of these Regulations, sanctioned commercial activity also means:
the obtaining, directly or indirectly, of any tenement or permission (however described) in relation to an extractive or related industry in the DPRK from a person or entity mentioned in an item of the table in subregulation (2); or
the obtaining, directly or indirectly, of any tenement or permission (however described) in relation to the creation, construction, installation, development, maintenance or decommissioning of infrastructure associated with an extractive or related industry in the DPRK from a person or entity mentioned in an item of the table in subregulation (2).
If the Minister is satisfied that it is in the national interest to do so, the Minister may, by legislative instrument, specify any of the following:
that an activity mentioned in regulation 4 is not a sanctioned supply;
that an activity mentioned in regulation 4A is not a sanctioned import;
that an activity mentioned in regulation 5 is not a sanctioned service;
that an activity mentioned in regulation 5A, 5B, 5C or 5CA is not a sanctioned commercial activity.
For paragraph 10(1)(a) of the Act, the Minister may, by legislative instrument, do either or both of the following:
(a) designate a person or entity mentioned in an item of the table as a designated person or entity for the country mentioned in the item;
declare a person mentioned in an item of the table for the purpose of preventing the person from travelling to, entering or remaining in Australia.
Proliferation of weapons of mass destruction
For the purposes of paragraph 10(1)(a) of the Act, the Minister may, by legislative instrument, do either or both of the following:
(a) designate a person or entity as a designated person or entity if the Minister is satisfied that the person or entity is contributing to the proliferation of weapons of mass destruction;
declare a person for the purpose of preventing the person from travelling to, entering or remaining in Australia if the Minister is satisfied that the person is contributing to the proliferation of weapons of mass destruction.
Significant cyber incidents
For the purposes of paragraph 10(1)(a) of the Act, the Minister may, by legislative instrument, do either or both of the following:
(a) designate a person or entity as a designated person or entity if the Minister is satisfied that the person or entity:
has caused, or attempted to cause, a significant cyber incident; or
has assisted with causing, or with attempting to cause, a significant cyber incident; or
has otherwise been complicit in causing, or in attempting to cause, a significant cyber incident;
declare a person for the purpose of preventing the person from travelling to, entering or remaining in Australia if the Minister is satisfied that the person:
has caused, or attempted to cause, a significant cyber incident; or
has assisted with causing, or with attempting to cause, a significant cyber incident; or
has otherwise been complicit in causing, or in attempting to cause, a significant cyber incident.
For the purposes of this regulation, in deciding whether the Minister is satisfied that a cyber incident was, or would have been, significant, the Minister may have regard to the following matters:
whether the conduct of the person or entity was malicious;
in the case of a cyber incident that has occurred—whether the incident involved any of the following:
actions that destroyed, degraded or rendered unavailable an essential service or critical infrastructure;
actions that resulted in the loss of a person’s life, or caused serious risk of loss of a person’s life;
theft of intellectual property, trade secrets or confidential business information for the purposes of gaining a competitive advantage for an entity or a commercial sector;
interference with a political or governmental process, the exercise of a political right or duty, or the functions or operations of a parliament;
in the case of a cyber incident that has been attempted but has not occurred—whether the Minister is satisfied that, if the incident had occurred, the incident could reasonably be expected to have involved one or more of the matters mentioned in subparagraphs (b)(i) to (iv);
any other matters the Minister considers relevant.
Serious violations or serious abuses of human rights
For the purposes of paragraph 10(1)(a) of the Act, the Minister may, by legislative instrument, do either or both of the following:
(a) designate a person or entity as a designated person or entity if the Minister is satisfied that the person or entity has engaged in, has been responsible for or has been complicit in an act that constitutes a serious violation or serious abuse of a person’s:
right to life; or
right not to be subjected to torture or to cruel, inhuman or degrading treatment or punishment; or
right not to be held in slavery or servitude or right not to be required to perform forced or compulsory labour;
declare a person for the purpose of preventing the person from travelling to, entering or remaining in Australia if the Minister is satisfied that the person has engaged in, has been responsible for or has been complicit in an act that constitutes a serious violation or serious abuse of a person’s:
right to life; or
right not to be subjected to torture or to cruel, inhuman or degrading treatment or punishment; or
right not to be held in slavery or servitude or right not to be required to perform forced or compulsory labour.
Serious corruption
For the purposes of paragraph 10(1)(a) of the Act, the Minister may, by legislative instrument, do either or both of the following:
(a) designate a person or entity as a designated person or entity if the Minister is satisfied that the person or entity has engaged in, has been responsible for or has been complicit in an act of corruption that is serious;
declare a person for the purpose of preventing the person from travelling to, entering or remaining in Australia if the Minister is satisfied that the person has engaged in, has been responsible for or has been complicit in an act of corruption that is serious.
For the purposes of this regulation, in deciding whether the Minister is satisfied that an act of corruption is serious, the Minister may have regard to the following matters:
the status or position of the person or entity;
the nature, extent and impact of the conduct of the person or entity;
the circumstances in which that conduct occurred;
any other matters the Minister considers relevant.
Conduct in whole or in part outside Australia
The Minister must not make a designation or a declaration under subregulation (1), (2), (4) or (5) unless the Minister is satisfied that the conduct of the person or entity concerned occurred, in whole or in part, outside Australia.
Immediate family members
For the purposes of paragraph 10(1)(a) of the Act, the Minister may, by legislative instrument, do either or both of the following:
(a) designate a person as a designated person or entity if the Minister is satisfied that the person is an immediate family member of a person who is covered by a designation under paragraph (4)(a) or (5)(a);
declare a person for the purpose of preventing the person from travelling to, entering or remaining in Australia if the Minister is satisfied that the person is an immediate family member of a person who is covered by a declaration under paragraph (4)(b) or (5)(b).
Persons or entities obtaining financial or other benefits
For the purposes of paragraph 10(1)(a) of the Act, the Minister may, by legislative instrument, do either or both of the following:
(a) designate a person or entity as a designated person or entity if the Minister is satisfied that the person or entity has obtained a financial or other benefit as a result of the act of another person or entity who is covered by a designation under paragraph (4)(a) or (5)(a), being the act referred to in paragraph (4)(a) or (5)(a);
declare a person for the purpose of preventing the person from travelling to, entering or remaining in Australia if the Minister is satisfied that the person has obtained a financial or other benefit as a result of the act of another person who is covered by a declaration under paragraph (4)(b) or (5)(b), being the act referred to in paragraph (4)(b) or (5)(b).
For paragraph 10(1)(b) of the Act, the Minister may, by legislative instrument, designate a controlled asset as a designated asset.
Designation of vessels
For paragraph 10(1)(b) of the Act, the Minister may, by legislative instrument:
(a) designate a vessel as a sanctioned vessel for a country mentioned in the designation; or
(b) designate each vessel in a class of vessels as a sanctioned vessel for a country mentioned in the designation.
A vessel is not required to be owned, registered or flagged by the country mentioned in the designation.
A sanctioned vessel does not cease to be a sanctioned vessel solely because:
its name is changed; or
the flag under which it is operated changes; or
its registration is changed.
Directions to sanctioned vessels
The Minister may direct a sanctioned vessel to:
leave Australia, including by a particular route; or
not enter a particular port or place, or any port or place, in Australia.
Before giving the direction, the Minister must have regard to Australia’s obligations at international law.
A direction given under subregulation (4) in writing is not a legislative instrument.
The Minister may, by legislative instrument, revoke:
a designation made under paragraph 6(a) or 6A(1)(a), (2)(a), (4)(a), (5)(a), (8)(a) or (9)(a), regulation 7 or paragraph 8(1)(a) or (b); or
a declaration made under paragraph 6(b) or 6A(1)(b), (2)(b), (4)(b), (5)(b), (8)(b) or (9)(b).
The Minister may revoke a designation or declaration on the Minister’s initiative.
The Minister may also revoke:
a designation made under paragraph 6(a) or 6A(1)(a), (2)(a), (4)(a), (5)(a), (8)(a) or (9)(a); or
a declaration made under paragraph 6(b) or 6A(1)(b), (2)(b), (4)(b), (5)(b), (8)(b) or (9)(b);
on application by the person or entity to which the designation or declaration relates.
Note: See regulation 11.
The Minister may also revoke a designation made under regulation 7 on application by the designated person or entity that owns or controls the designated asset to which the designation relates.
Note: See regulation 11.
The Minister may also revoke a designation made under paragraph 8(1)(a) or (b) on application by:
the owner of the sanctioned vessel to which the designation relates; or
the person who controls the sanctioned vessel to which the designation relates.
Note: See regulation 11.
For regulation 10:
a designated person or entity may apply to the Minister to revoke the designation of the person or entity; and
a person who has been declared under paragraph 6(b) or 6A(1)(b), (2)(b), (4)(b), (5)(b), (8)(b) or (9)(b) may apply to the Minister to revoke the declaration of the person; and
a person or entity that owns or controls a designated asset may apply to the Minister to revoke the designation of the asset; and
the owner of a sanctioned vessel may apply to the Minister to revoke the designation of the vessel; and
a person who controls a sanctioned vessel may apply to the Minister to revoke the designation of the vessel.
The application must:
be in writing; and
set out the circumstances relied upon to justify the application.
(3) The Minister is not required to consider an application (the current application) by a person or entity under this regulation if the person or entity has made an application under this regulation within one year before the current application.
A person contravenes this regulation if:
the person makes a sanctioned supply; and
the sanctioned supply is not an authorised supply.
Strict liability applies to the circumstance that the sanctioned supply is not in accordance with a permit under regulation 18.
Note 1: For strict liability, see Criminal Code.section 6.1 of the
Note 2: Strict liability is not imposed on an individual for any other element of an offence under section 16 of the Act that relates to a contravention of this regulation.
(2) Section 15.1 of the Criminal Code applies to an offence under section 16 of the Act that relates to a contravention of this regulation.
Note: This has the effect that the offence has extraterritorial operation.
A person, whether or not in Australia, and whether or not an Australian citizen, contravenes this regulation if the person uses the services of an Australian ship or an Australian aircraft to transport export sanctioned goods in the course of, or for the purpose of, making a sanctioned supply that is not an authorised supply.
A body corporate contravenes this regulation if:
the body corporate has effective control over the actions of another body corporate or entity, wherever incorporated or situated; and
the other body corporate or entity makes a sanctioned supply; and
the sanctioned supply is not an authorised supply.
Note: This regulation may be specified as a sanction law by the Minister under section 6 of the Act.
A person contravenes this regulation if:
the person makes a sanctioned import; and
the sanctioned import is not an authorised import.
Strict liability applies to the circumstance that the sanctioned import is not in accordance with a permit under regulation 18.
Note 1: For strict liability, see Criminal Code.section 6.1 of the
Note 2: Strict liability is not imposed on an individual for any other element of an offence under section 16 of the Act that relates to a contravention of this regulation.
(2) Section 15.1 of the Criminal Code applies to an offence under section 16 of the Act that relates to a contravention of this regulation.
Note: This has the effect that the offence has extraterritorial operation.
A person, whether or not in Australia, and whether or not an Australian citizen, contravenes this regulation if the person uses the services of an Australian ship or an Australian aircraft to transport import sanctioned goods in the course of, or for the purpose of, making a sanctioned import that is not an authorised import.
A body corporate contravenes this regulation if:
the body corporate has effective control over the actions of another body corporate or entity, wherever incorporated or situated; and
the other body corporate or entity makes a sanctioned import; and
the sanctioned import is not an authorised import.
Note: This regulation may be specified as a sanction law by the Minister under section 6 of the Act.
A person contravenes this regulation if:
the person provides a sanctioned service; and
the sanctioned service is not an authorised service; and
the sanctioned service is not provided in relation to an authorised supply.
Strict liability applies to the circumstance that the sanctioned service is not in accordance with a permit under regulation 18.
Note 1: For strict liability, see Criminal Code.section 6.1 of the
Note 2: Strict liability is not imposed on an individual for any other element of an offence under section 16 of the Act that relates to a contravention of this regulation.
(2) Section 15.1 of the Criminal Code applies to an offence under section 16 of the Act that relates to a contravention of this regulation.
Note: This has the effect that the offence has extraterritorial operation.
A body corporate contravenes this regulation if:
the body corporate has effective control over the actions of another body corporate or entity, wherever incorporated or situated; and
the other body corporate or entity provides a sanctioned service; and
the sanctioned service is not an authorised service; and
the sanctioned service is not provided in relation to an authorised supply.
Note: This regulation may be specified as a sanction law by the Minister under section 6 of the Act.
A person contravenes this regulation if:
the person engages in a sanctioned commercial activity; and
the sanctioned commercial activity is not an authorised commercial activity.
Strict liability applies to the circumstance that the sanctioned commercial activity is not in accordance with a permit under regulation 18.
Note 1: For strict liability, see Criminal Code.section 6.1 of the
Note 2: Strict liability is not imposed on an individual for any other element of an offence under section 16 of the Act that relates to a contravention of this regulation.
(2) Section 15.1 of the Criminal Code applies to an offence under section 16 of the Act that relates to a contravention of this regulation.
Note: This has the effect that the offence has extraterritorial operation.
A body corporate contravenes this regulation if:
the body corporate has effective control over the actions of another body corporate or entity, wherever incorporated or situated; and
the other body corporate or entity engages in a sanctioned commercial activity; and
the sanctioned commercial activity is not an authorised commercial activity.
Note: This regulation may be specified as a sanction law under the Autonomous Sanctions (Sanction Law) Declaration 2012.
A person contravenes this regulation if:
the person directly or indirectly makes an asset available to, or for the benefit of, a designated person or entity; and
the making available of the asset is not authorised by a permit granted under regulation 18.
Strict liability applies to the circumstance that the making available of the asset is not in accordance with a permit under regulation 18.
Note 1: For strict liability, see Criminal Code.section 6.1 of the
Note 2: Strict liability is not imposed on an individual for any other element of an offence under section 16 of the Act that relates to a contravention of this regulation.
(2) Section 15.1 of the Criminal Code applies to an offence under section 16 of the Act that relates to a contravention of this regulation.
Note 1: This has the effect that the offence has extraterritorial operation.
Note 2: This regulation may be specified as a sanction law by the Minister under section 6 of the Act.
A person contravenes this regulation if:
the person holds a controlled asset; and
the person:
uses or deals with the asset; or
allows the asset to be used or dealt with; or
facilitates the use of the asset or dealing with the asset; and
the use or dealing is not authorised by a permit granted under regulation 18.
Strict liability applies to the circumstance that the use or dealing with the asset is not in accordance with a permit under regulation 18.
Note 1: For strict liability, see Criminal Code.section 6.1 of the
Note 2: Strict liability is not imposed on an individual for any other element of an offence under section 16 of the Act that relates to a contravention of this regulation.
(2) Section 15.1 of the Criminal Code applies to an offence under section 16 of the Act that relates to a contravention of this regulation.
Note 1: This has the effect that the offence has extraterritorial operation.
Note 2: This regulation may be specified as a sanction law by the Minister under section 6 of the Act.
A person contravenes this regulation if:
a direction is given to a sanctioned vessel under subregulation 8(4); and
the person engages in conduct; and
the conduct causes the sanctioned vessel to contravene the direction.
(2) Section 15.1 of the Criminal Code applies to an offence under section 16 of the Act that relates to a contravention of this regulation.
Note 1: This has the effect that the offence has extraterritorial operation.
Note 2: This regulation may be specified as a sanction law by the Minister under section 6 of the Act.
Exception—safety of vessel or human life
Subregulation (1) does not apply if the person is engaging in conduct necessary to secure the safety of the sanctioned vessel or human life.
Note: A defendant bears an evidential burden in relation to the matters in subregulation (3) (see subsection 13.3(3) of the Criminal Code).
Exception—authorisation or requirement under Part IIIAAA of the Defence Act 1903
(4) Subregulation (1) does not apply if the operation of the sanctioned vessel or the conduct of the person is authorised or required under Defence Act 1903.Part IIIAAA of the
Note: A defendant bears an evidential burden in relation to the matters in subregulation (4) (see subsection 13.3(3) of the Criminal Code).
It is not a defence to a prosecution for an offence against subregulation (1) that the operation of the sanctioned vessel or the conduct of the person is authorised or required under any other law.
A sanctioned vessel is forfeited to the Commonwealth if:
a direction is given to the sanctioned vessel under subregulation 8(4); and
the sanctioned vessel contravenes the direction.
Exception—safety of vessel or human life
Subregulation (1) does not apply if the contravention is necessary to secure the safety of the sanctioned vessel or human life.
Exception—authorisation or requirement under Part IIIAAA of the Defence Act 1903
(3) Subregulation (1) does not apply if the contravention is authorised or required under Defence Act 1903.Part IIIAAA of the
The Minister may grant to a person a permit authorising:
the making of a sanctioned supply; or
the making of a sanctioned import; or
engaging in a sanctioned commercial activity; or
the provision of a sanctioned service; or
the making available of an asset to a person or entity that would otherwise contravene regulation 14; or
a use of, or a dealing with, a controlled asset.
Note: Section 15 of the Act applies to a permit granted by the Minister under this subregulation.
The Minister may grant a permit:
on the Minister’s initiative; or
on application by a person.
The Minister must not grant a permit unless the Minister is satisfied:
that it would be in the national interest to grant the permit; and
about any circumstance or matter required by this Part to be considered for a particular kind of permit.
A permit may be granted subject to conditions specified in the permit.
This regulation applies if:
the Minister has declared a person under paragraph 6(b) or 6A(1)(b), (2)(b), (4)(b), (5)(b), (8)(b) or (9)(b) for the purpose of preventing the person from travelling to, entering or remaining in Australia; and
the person:
(i) holds a visa under the Migration Act 1958; or
had applied under that Act for the grant of a visa before the declaration, and the application had not been finally determined (within the meaning of that Act) before the declaration; or
applies under that Act for the grant of a visa after the declaration.
The Minister may, in writing, waive the operation of the declaration to the extent that it would have the effect of preventing the person from travelling to, entering or remaining in Australia as would be permitted by the visa.
The Minister may waive the operation of the declaration only:
on the grounds that it would be in the national interest; or
on humanitarian grounds.
The Minister may waive the operation of the declaration subject to conditions specified in the waiver.
A waiver has effect:
for the period (if any) specified by the Minister in the waiver; or
in the circumstances (if any) specified by the Minister in the waiver.
The waiver ceases to have effect if:
the person fails to comply with a condition to which it is subject; or
the period (if any) for which it has effect ends; or
the circumstances in which it has effect cease to exist.
An application for a permit authorising the making available of an asset to a person or entity that would otherwise contravene regulation 14 must be for:
a basic expense dealing; or
a legally required dealing; or
a contractual dealing.
Note: See paragraph 18(1)(e).
An application for a permit authorising a use of, or a dealing with, a controlled asset must be for:
a basic expense dealing; or
a legally required dealing; or
a contractual dealing.
Note: See paragraph 18(1)(f).
(3) A dealing is a basic expense dealing if:
it is constituted by:
a payment to a designated person or entity; or
a payment to a person or entity acting on behalf of, or at the direction of, a designated person or entity; or
a payment to an entity owned or controlled by a designated person or entity; or
a use or dealing with a controlled asset; and
the dealing is necessary for basic expenses, including any of the following:
foodstuffs;
rent or mortgage;
medicines or medical treatment;
taxes;
insurance premiums;
public utility charges;
reasonable professional fees;
reimbursement of expenses associated with the provision of legal services;
fees or service charges that are in accordance with a law in force in Australia for the routine holding or maintenance of frozen assets.
A dealing is a legally required dealing if:
it is constituted by:
a payment to a designated person or entity; or
a payment to a person or entity acting on behalf of, or at the direction of, a designated person or entity; or
a payment to an entity owned or controlled by a designated person or entity; or
a use or dealing with a controlled asset; and
the dealing is necessary to satisfy a judicial, administrative or arbitral lien or judgement that was made prior to the date on which the person or entity became a designated person or entity; and
the dealing is not for the benefit of a designated person or entity.
(5) A dealing is a contractual dealing if:
it is constituted by:
a payment to a designated person or entity; or
a payment to a person or entity acting on behalf of, or at the direction of, a designated person or entity; or
a payment to an entity owned or controlled by a designated person or entity; or
a use or dealing with a controlled asset; and
the dealing is a payment:
to apply interest or other earnings due on accounts holding controlled assets; or
required under contracts, agreements or obligations made before the date on which those accounts became accounts holding controlled assets.
Note: If the account into which the payment is paid is frozen under Sanctions Regulations, this payment will also be frozen once received.
The Department may give notice of a designation made under paragraph 6(a) or 6A(1)(a), (2)(a), (4)(a), (5)(a), (8)(a) or (9)(a) or regulation 7 to any person who is engaged in the business of holding, dealing in, or facilitating dealing in, assets.
The Department may give the notice before the designation is published.
The Department must maintain a document that sets out:
all persons and entities that are currently designated persons or entities; and
all assets or classes of assets currently designated under regulation 8.
The document must contain the following information about a designated person or entity:
the name of the person, including any alias for the person known to the Department;
the name of the entity, and any registration or incorporation number or name that will facilitate the identification of the entity;
the date on which the person or entity was designated.
The document must contain the following information about a designated asset:
a description of the asset or class of assets;
the name of the designated person or entity that, owns or controls the asset;
the date on which the asset was designated under regulation 7.
The document must be made available to the public on the Department’s website.
(5) The document may be consolidated with the document mentioned in regulation 40 of the Charter of the United Nations (Dealing with Assets) Regulations 2008.
A person who holds an asset that the person suspects is, or may be, a controlled asset may request the AFP to help the person determine whether or not the asset is owned or controlled by a designated person or entity.
The request must be accompanied by:
details of the asset; and
as much information about the asset (including information about the owner or controller of the asset) as is known to the person making the request.
The AFP must use its best endeavours to help a person who has made a request under subregulation (1).
As soon as practicable after receiving a request under subregulation (1), the AFP must respond in writing.
The response must state whether the AFP considers that:
it is likely that the asset is owned or controlled by a designated person or entity; or
it is unlikely that the asset is owned or controlled by a designated person or entity; or
it is unknown whether the asset is owned or controlled by a designated person or entity.
Note: These Regulations do not limit the obligation of:
(a) a cash dealer under Financial Transaction Reports Act 1988 to report a suspicious transaction; orsection 16 of the
(b) a reporting entity under the Anti-Money Laundering and Counter-Terrorism Financing Act 2006.
(1) This regulation sets out what a person who is holding an asset must do if the person forms an opinion (a notifiable opinion) that:
the asset is a controlled asset; or
the asset, having been a controlled asset, or having been previously treated by the person as a controlled asset, is not, or is no longer, a controlled asset.
Paragraph (1)(b) does not apply if:
the asset has been removed from the document mentioned in regulation 22; or
all designated persons and entities associated with the asset have been removed from the document.
As soon as practicable after a person forms a notifiable opinion, the person must inform the AFP of:
the asset about which the opinion was formed; and
as much information about the asset (including information about the owner or controller of the asset) as is known to the person; and
the reasons for the opinion.
(1) This regulation applies to a person who, at the time that something is done under the Act or these Regulations (a relevant action), is:
the Minister; or
the Secretary of the Department; or
an APS employee; or
(d) an AFP employee, or a member of the Australian Federal Police, within the meaning of the Australian Federal Police Act 1979; or
a person who holds a controlled asset or an asset that the person suspects may be a controlled asset; or
a person employed by a person mentioned in paragraph (e).
A person to whom this regulation applies is not required:
to produce in a court any document that has come into the custody or control of the person in the course of, or because of, the relevant action; or
to divulge or communicate to a court any matter or thing that has come to the notice of the person in the course of, or because of, the relevant action;
unless it is necessary to do so to comply with the Act or these Regulations.
The Minister must cause a review of the operation of the autonomous sanctions legislative framework to be undertaken every 5 years, starting 5 years from the commencement of this regulation.
Without limiting subregulation (1), each review must consider:
the effectiveness of the autonomous sanctions legislative framework for achieving Australia’s foreign policy objectives; and
whether the Act and these Regulations are appropriate for achieving the objects of the Act.
The persons who undertake a review must give the Minister a written report on the review within 12 months of the commencement of the review.
The Minister must cause a copy of the report to be tabled in each House of the Parliament within 15 sitting days of that House after the Minister receives the report.
The Minister may delegate the Minister’s powers and functions under these Regulations (other than this power of delegation) to:
the Secretary of the Department; or
an SES employee, or acting SES employee, in the Department.
The delegation must be in writing.
The delegate must comply with any directions of the Minister in exercising powers or functions under the delegation.
An instrument in force under subregulation 6(1) immediately before the commencement of this regulation continues in force on and after that commencement as if it were an instrument in force under regulation 6.
A designation made under paragraph 6(1)(a) before the commencement of this regulation and in force immediately before that commencement has effect on and after that commencement as if it were a designation made under paragraph 6(a).
A declaration made under paragraph 6(1)(b) before the commencement of this regulation and in force immediately before that commencement has effect on and after that commencement as if it were a declaration made under paragraph 6(b).
An instrument in force under subregulation 6(2) immediately before the commencement of this regulation continues in force on and after that commencement as if it were an instrument in force under subregulation 6A(1).
A designation made under paragraph 6(2)(a) before the commencement of this regulation and in force immediately before that commencement has effect on and after that commencement as if it were a designation made under paragraph 6A(1)(a).
A declaration made under paragraph 6(2)(b) before the commencement of this regulation and in force immediately before that commencement has effect on and after that commencement as if it were a declaration made under paragraph 6A(1)(b).
An instrument made under subregulation 9(3) before the commencement of this regulation, in relation to a designation or declaration, and in force immediately before that commencement, has effect on and after that commencement as if it were an instrument made under that subregulation in relation to that designation or declaration as affected by the operation of subregulation (2), (3), (5) or (6) of this regulation.
This regulation does not affect the day on which a designation or declaration took effect.
(1) Subsection 3(2) of the Autonomous Sanctions (Russia, Crimea and Sevastopol) Specification 2015 (the Specification) has effect on and after the commencement of this regulation as if the reference in that subsection to “Crimea and Sevastopol” were instead a reference to “each specified Ukraine region”.
Subparagraph 4(a)(iii) of the Specification has effect on and after the commencement of this regulation as if the reference in that subparagraph to “Russia, Crimea or Sevastopol” were instead a reference to “Russia or a specified Ukraine region”.
Subsection 5(5) of the Specification has effect on and after the commencement of this regulation as if the reference in that subsection to “Crimea and Sevastopol” were instead a reference to “a specified Ukraine region”.
(1) The repeal of regulation 9 made by the Autonomous Sanctions Amendment (Periodic Legislative Review) Regulations 2024 applies in relation to a designation or declaration made under these Regulations, whether it was made before, on or after the commencement of the Autonomous Sanctions Amendment (Periodic Legislative Review) Regulations 2024.
To avoid doubt, the repeal of regulation 9 does not affect the previous operation of a declaration made under subregulation (3) of that regulation.
Note: See Acts Interpretation Act 1901 as it applies because of paragraph 13(1)(a) of the Legislation Act 2003.section 7 of the
Endnotes
Endnote 1—About the endnotes
The endnotes provide information about this compilation and the compiled law.
The following endnotes are included in every compilation:
Endnote 1—About the endnotes
Endnote 2—Abbreviation key
Endnote 3—Legislation history
Endnote 4—Amendment history
Abbreviation key— E ndnote 2
The abbreviation key sets out abbreviations that may be used in the endnotes.
Legislation history and amendment history— E ndnotes 3 and 4
Amending laws are annotated in the legislation history and amendment history.
The legislation history in endnote 3 provides information about each law that has amended (or will amend) the compiled law. The information includes commencement details for amending laws and details of any application, saving or transitional provisions that are not included in this compilation.
The amendment history in endnote 4 provides information about amendments at the provision (generally section or equivalent) level. It also includes information about any provision of the compiled law that has been repealed in accordance with a provision of the law.
Editorial changes
The Legislation Act 2003 authorises First Parliamentary Counsel to make editorial and presentational changes to a compiled law in preparing a compilation of the law for registration. The changes must not change the effect of the law. Editorial changes take effect from the compilation registration date.
If the compilation includes editorial changes, the endnotes include a brief outline of the changes in general terms. Full details of any changes can be obtained from the Office of Parliamentary Counsel.
Misdescribed amendments
A misdescribed amendment is an amendment that does not accurately describe how an amendment is to be made. If, despite the misdescription, the amendment can be given effect as intended, then the misdescribed amendment can be incorporated through an editorial change made under Legislation Act 2003.section 15V of the
If a misdescribed amendment cannot be given effect as intended, the amendment is not incorporated and “(md not incorp)” is added to the amendment history.
Endnote 2—Abbreviation key
Endnote 3—Legislation history
Endnote 4—Amendment history