Queen's Wharf Brisbane Regulation 2016


Queensland Crest

Part 1 Preliminary

1Short title

This regulation may be cited as the Queen's Wharf Brisbane Regulation 2016 .

2Commencement

This regulation commences on 27 May 2016.

3Interpretation

(1)In this regulation—
control has the meaning given by section 50AA of the Corporations Act.
notice requirement percentage, in relation to voting interests in a relevant entity held by a person, means—
(a)the lower percentage amount mentioned in section (1)(a) or (b); or
(b)the percentage amount mentioned in section (1)(c).
(2)Words and expressions used in chapter 4 of the Act have the same meaning in this regulation as they have in chapter 4 of the Act.

Part 2 Interests in relevant entities

Division 1 Notice requirements—Act, s 27

4Application of division

This division prescribes notice requirements under section 27 of the Act in relation to voting interests in the following relevant entities—
(a)the licensee or IR Holdco;
(b)any other relevant entity that is a trustee of the IR Holding Trust or IR Operating Trust;
(c)the IR Holding Trust or IR Operating Trust.

5Provision for associates

(1)For this division, the voting interests in a relevant entity held by a person include voting interests in the relevant entity on issue that are held by an associate of the person.
(2)However, persons are not associates of each other only because they are parties to an interestholder document within the meaning of the casino agreement.

Note—

See clause 1.1 of the casino agreement for the definition interestholder documents.

6Notice requirement—holder of voting interests

(1)This section applies if a person is aware the total number of voting interests in a relevant entity held by the person is—
(a)more than 5% but not more than 10% of the total number of voting interests on issue; or
(b)more than 10% but not more than 20% of the total number of voting interests on issue; or
(c)more than 20% of the total number of voting interests on issue.
(2)The person must, within the period mentioned in subsection (3), give the relevant entity written notice in the approved form of the person’s voting interests in the entity.

Maximum penalty—10 penalty units.

(3)For subsection (2), the period is 5 business days after the day the person first becomes aware that the total number of voting interests in the relevant entity held by the person exceeds the notice requirement percentage.
(4)If the person holds voting interests in more than 1 relevant entity mentioned in section , the person must comply with subsection (2) in relation to each of the entities.

Note—

See also division 2 in relation to exemptions from the requirement to comply with this provision.

7Notice requirement—relevant entity

(1)This section applies if a relevant entity is aware the total number of voting interests in the entity held by a person exceeds a notice requirement percentage.
(2)The relevant entity must, within the period mentioned in subsection (3), give the Minister written notice of that fact in the approved form.
(3)For subsection (2), the period is 10 business days after the earlier of the following events—
(a)the relevant entity receives notice of the person’s voting interests in the entity under section ;
(b)the relevant entity otherwise becomes aware that the total number of voting interests in the entity held by the person exceeds the notice requirement percentage.

Division 2 Exemptions—Act, s 29

8Purpose of division

This division prescribes exemptions under section 29 of the Act.

9Exemption from requirements about voting power

A person (an exempt person) is exempt from the requirement to comply with section 20 or 23 of the Act (each the relevant section) in relation to voting power in a relevant entity if—
(a)the exempt person is a body corporate; and
(b)the exempt person does not have a relevant interest in any voting interests in the relevant entity; and
(c)the exempt person would, but for this section, be required to obtain the required approval under the relevant section only because the exempt person’s associate (a non-exempt person) has a relevant interest in voting interests in the relevant entity; and
(d)the non-exempt person—
(i)is a body corporate; and
(ii)has obtained the required approval under the relevant section; and
(e)the non-exempt person is an associate of the exempt person only because the non-exempt person—
(i)controls the exempt person; or
(ii)is controlled by another entity that controls the exempt person.

10Exemption from requirements about non-voting interests

A person (an exempt person) is exempt from the requirement to comply with section 21 of the Act in relation to non-voting interests in a relevant entity if—
(a)the exempt person is a body corporate; and
(b)the exempt person does not have a relevant interest in any non-voting interests in the relevant entity; and
(c)another person (a non-exempt person) who is an associate of the exempt person—
(i)is a body corporate; and
(ii)has a relevant interest in non-voting interests in the relevant entity; and
(iii)has obtained the required approval under section 21 of the Act; and
(d)the non-exempt person is an associate of the exempt person only because the non-exempt person—
(i)controls the exempt person; or
(ii)is controlled by another entity that controls the exempt person.

11Exemption from requirements about convertible securities

A person (an exempt person) is exempt from the requirement to comply with section 22 of the Act in relation to convertible securities in a relevant entity if—
(a)the exempt person is a body corporate; and
(b)the exempt person does not have a relevant interest in any convertible securities in the relevant entity; and
(c)another person (a non-exempt person) who is an associate of the exempt person—
(i)is a body corporate; and
(ii)has a relevant interest in convertible securities in the relevant entity; and
(iii)has obtained the required approval under section 22 of the Act; and
(d)the non-exempt person is an associate of the exempt person only because the non-exempt person—
(i)controls the exempt person; or
(ii)is controlled by another entity that controls the exempt person.

12Exemption from notice requirements—voting interests in licensee or IR Holdco etc.

(1)This section applies if a person—
(a)holds voting interests in a relevant entity mentioned in section only because an associate of the person holds voting interests in the relevant entity; and
(b)is exempt, under section , from the requirement to comply with section 20 of the Act in relation to the person’s voting power in the relevant entity.
(2)The person is exempt from the requirement under section to give notice in relation to the voting interests in the relevant entity held by the person.
(3)The relevant entity is exempt from the requirement under section to give notice in relation to the voting interests in the relevant entity held by the person.

13Exemption from notice requirements—voting power in other relevant entities

(1)This section applies if a person—
(a)holds voting power in a relevant entity, other than a relevant entity mentioned in section , that is more than 10% but not more than 20%; and
(b)would be exempt, under section , from the requirement to comply with section 23 of the Act in relation to the person’s voting power in the relevant entity if the person’s voting power was more than 20%.
(2)The person is exempt from the requirement under section 28(1) of the Act to give notice of the person’s voting power in the relevant entity.
(3)The relevant entity is exempt from the requirement under section 28(2) of the Act to give notice of the person’s voting power in the relevant entity.

Part 3 Amendment of other legislation

Division 1 Amendment of Casino Control Regulation 1999

14Regulation amended

This division amends the Casino Control Regulation 1999.

15Insertion of new s 14A

Part 2—
insert—

14AParticulars for casino licence for Queen’s Wharf casino—Act, s 22(2)(f)

(1)This section applies to a casino licence relating to the Queen’s Wharf casino agreement.
(2)For section 22(2)(f) of the Act, the following particulars are prescribed—
(a)the name of the integrated resort within the meaning of the Queen’s Wharf casino agreement;

Note—

See clause 1.1 of the Queen’s Wharf casino agreement for the definition integrated resort.
(b)the types of games that may be conducted in the casino;
(c)the maximum number (if applicable) of the following that may be operated in the casino—
(i)gaming machines;
(ii)games played at a table;
(iii)fully-automated table game machines within the meaning of section 19 and any other electronic derivation (in whole or in part) of a game played at a table that is permitted under the Act or a gaming Act;
(d)the casino’s operating hours.
(3)In this section—
Queen’s Wharf casino agreement means the casino agreement under the Queen’s Wharf Brisbane Act 2016 .

16Amendment of s 23 (Depositing of cheques)

(1)Section 23(a), after ‘Australia’—
insert—
by a person other than a nonresident junket participant
(2)Section 23—
insert—
(2)In this section—
nonresident junket participant means a nonresident of Queensland visiting a casino under a junket agreement within the meaning of section 85A of the Act.

Division 2 Amendment of Sustainable Planning Regulation 2009

17Regulation amended

This division amends the Sustainable Planning Regulation 2009.

18Amendment of sch 3 (Assessable development, self-assessable development and type of assessment)

(1)Schedule 3, part 1, table 3, item 1(k), after ‘area’—
insert—
or that is PDA-associated land for a priority development area
(2)Schedule 3, part 1, table 4, item 2, after ‘area’—
insert—
or a lot that is PDA-associated land for a priority development area
(3)Schedule 3, part 1, table 5, item 8, ‘development in a priority development area or’—
omit, insert—
PDA-related development or development in a
(4)Schedule 3, part 2, table 4, item 5, ‘a local government road in or for a priority development area’—
omit, insert—
road works that are PDA-related development

19Amendment of sch 4 (Development that can not be declared to be development of a particular type—Act, section 232(2))

Schedule 4, table 5, item 14, ‘development for a priority development area’—
omit, insert—
PDA-related development

20Amendment of sch 18 (Compliance assessment of particular development)

(1)Schedule 18, table 1, item 1(d)(x), after ‘area’—
insert—
or land that is PDA-associated land for a priority development area
(2)Schedule 18, table 2, item 1, after ‘area’—
insert—
or that is PDA-associated land for a priority development area

21Amendment of sch 26 (Dictionary)

(1)Schedule 26, definition PDA-related development
omit.
(2)Schedule 26—
insert—
PDA-associated land, for a priority development area, has the meaning given under the Economic Development Act 2012.
PDA-related development means—
(a)development in a priority development area; or
(b)PDA-associated development for a priority development area under the Economic Development Act 2012.