MISLEADING OR DECEPTIVE CONDUCT — in relation to financial services — Australian Securities and Investments Commission Act 2001 (Cth) s 12DA — allegation that financial planner made misrepresentations when marketing a complex financial product to plaintiffs — amount of damages agreed upon in the event the plaintiffs were successful — finding that conduct occurred and amounted to misleading and deceptive conduct -damages awarded to plaintiffs — cross-claim dismissed
Case Details
Citation[2012] NSWSC 899
CourtNSWSC
JurisdictionNew South Wales
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