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Competition and Regulatory Authority Act 2019

COOK ISLANDS
Competition and Regulatory Authority Act 2019


No. 8, 2019


Contents


1 Title
2 Commencement


Part 1
Preliminary matters
3 Purpose
4 Interpretation
5 Act binds the Crown


Part 2
Establishment
6 Establishment of Authority
7 Independence
8 Government policy
9 Membership
10 Eligibility for appointment
11 Evaluation
12 Term
13 Remuneration and expenses
14 Immunity
15 Removal
16 Vacancy
17 Staff and consultants
18 Delegation
19 Annual plan
20 Annual report


Part 3
Meetings
21 Meetings of Authority
22 Quorum for meetings
23 Voting at meetings
24 Resolutions without meeting
25 Decisions not invalidated
26 Disclosure of interests
27 Related parties’ interests


Part 4
Functions, powers, and duties
28 Functions of Authority
29 General powers of Authority
30 Power to exchange information
31 Power to assist overseas agencies
32 Power to enter cooperation arrangement
33 Power to make confidentiality order
34 Duty to protect confidentiality
35 Duty to act in good faith
36 Duty of transparency


Part 5
Complaints and investigations
Complaints and investigations
37 Complaints
38 Investigations
39 Referral


Investigators
40 Appointment of Investigators 17


Investigative powers
41 Warnings
42 Self-incrimination
43 Requirement to produce documents and things
44 Requirement to answer or respond
45 Investigator may administer oath or affirmation
46 Authority may require statutory declaration
47 False or misleading statements
48 Immunity Agreements


Searches
49 Search warrants
50 Issue of warrants
51 Remote access searches
52 Remote access search of thing authorised by warrant
53 Period of warrants
54 Search powers
55 Items of uncertain status may be seized
56 Powers of persons called to assist
57 Obstruction of search
58 Destroying or falsifying documents


Part 6
Inquiries
59 Inquiry by Authority
60 Notice of inquiry
61 Conduct of inquiry
62 Inquiry reports


Part 7
Enforcement
63 Authority may prosecute
64 Administrative settlement


Warnings
65 Warning notice
66 Effect of warning notice


Undertakings
67 Undertakings
68 Consequences of accepting undertaking
69 Withdrawal of acceptance of undertaking
70 Variation, substitution, and release of undertaking
71 Enforcement of undertaking
72 Register of undertakings
73 Procedural requirements


Part 8
Reviews and appeals
Judicial review
74 Judicial review
75 Decision remains in effect


Review Panel
76 Application for review
77 Panel of experts
78 Review Panel
79 Decision remains in effect unless stayed
80 Review period
81 Review procedure


Part 9
Financial
82 Funds
83 Fees and charges
84 Levies
85 Expenses
86 Investment of funds
87 Exemption from tax
88 Accounts, audit, and estimates
89 Authority to appoint auditor
90 Financial year


Part 10
General and miscellaneous provisions
Offences
91 Ancillary contraventions
92 States of mind, etc, of bodies corporate
93 References to engaging in conduct
94 General penalty for offences, pecuniary penalties, and other orders
95 Injunctions


Miscellaneous
96 Legal professional privilege
97 Authority may participate in proceedings
98 Court may give advisory opinions
99 Evidence of documents


Regulations
100 Regulations

Cook%20Islands%20-%20Competition%20and%20Regulatory%20Authority%20Act%20201900.png


An Act to—

(a) establish the Competition and Regulatory Authority; and

(b) provide for the functions and powers of the Authority; and

(c) provide for review of, and appeals from, decisions of the Authority.


The Parliament of the Cook Islands enacts as follows—


  1. Title

This Act is the Competition and Regulatory Authority Act 2019.


  1. Commencement

This Act comes into force on the day after the date on which it receives the assent of the Queen’s Representative.

Part 1

Preliminary matters

  1. Purpose

The purpose of this Act is to establish an authority, to be known as the Competition and Regulatory Authority, with responsibility for administering and enforcing laws for the regulation of certain industries and activities in the Cook Islands.

  1. Interpretation

In this Act, unless the context otherwise requires—

Authority means the Competition and Regulatory Authority

compliance period has the meaning given in section 65

confidential information has the meaning given in section 34

contravening conduct has the meaning given in section 65

cooperation arrangement has the meaning given in section 32

cooperation request has the meaning given in section 32

Court means the High Court of the Cook Islands

enactment means the whole or a portion of any Act or regulations

immunity agreement has the meaning given in section 48

Minister means the Minister of the Crown who, with the authority of the Prime Minister, is responsible for the administration of this Act

Ministry means the Ministry charged for the time being with the responsibility for the administration of this Act

regulatory enactment means any other Act or regulation in force in the Cook

Islands which expressly confers on the Authority a function or power

related party has the meaning given in section 27

remote access search has the meaning given in section 51

review period has the meaning given in section 80

reviewable decision has the meaning given in section 76

unauthorised disclosure has the meaning given in section 34

warning notice has the meaning given in section 65.

  1. Act binds the Crown

This Act binds the Crown.

Part 2

Establishment

  1. Establishment of Authority
(1) The Competition and Regulatory Authority is established as a statutory body.
(2) The Authority is a body corporate and may––
  1. Independence
(1) Except as provided by this Act or by a regulatory enactment, the Authority is not subject to direction or control by the Minister or any other person in the performance of its functions.
(2) Subsection (1) does not––
  1. Government policy

In the exercise of its powers under this or any other enactment, the Authority must have regard to published economic policies of the Government.

  1. Membership
(1) The Authority must have at least 1 and not more than 3 members.
(2) The Minister may, by notice published in the Gazette, appoint a member who has been recommended for appointment by the Evaluation Committee.
(3) A member may be appointed on a full time or part time basis.
(4) The Minister must appoint one member to be Chair and, if there is more than one member, another member to be Deputy Chair.
(5) Anything done by or in relation to a person purporting to act under an appointment as a member is not invalid merely because––
  1. Eligibility for appointment
(1) To be eligible for appointment as, or to remain, a member of the Authority, a person must-—
(2) To be eligible for appointment as, or to remain, Chair of the Authority, a person must have significant knowledge of and experience in the economic regulation of telecommunications services in competitive markets.
(3) For the purposes of subsection (1)(g) a person is not an employee of the Cook Islands Government solely by reason of being a member of the Authority.
(4) A person shall not be disqualified or prevented from being appointed as a member of the Authority by reason of his or her nationality or residency.
  1. Evaluation
(1) When a vacancy exists for appointment of a member of the Authority, the Minister must request the recommendation of one or more candidates for appointment by an Evaluation Committee comprising—
(2) If a position referred to in subsection (1) is vacant or the person filling that position is unavailable, the official next in seniority must take his or her place on the Evaluation Committee.
(3) The Evaluation Committee must, on request by the Minister—
(4) The Minister must not appoint a person as a member—
  1. Term

A member––

(a) holds office for a period specified in the notice of appointment, which may be up to 3 years from the date of appointment; and
(b) is eligible to be re-appointed; and
(c) may resign from office by giving 1 month’s written notice of resignation to the Minister; and
(d) ceases to hold office if he or she ceases to meet the eligibility requirements under section 10(1).
  1. Remuneration and expenses
(1) A member is entitled to the terms (including remuneration) that are recommended by the Evaluation Committee.
(2) A member is entitled to be reimbursed for actual and reasonable travelling and other expenses incurred in carrying out his or her office as a member.
(3) The remuneration and expenses of a member must be paid out of the funds of the Authority.
  1. Immunity

The following persons have no civil, criminal, or administrative liability (and no damages or penalties may be imposed on them) for any act or matter done or omitted to be done in good faith in the exercise or purported exercise of their respective functions under this Act or any regulatory enactment:

(a) the Government or a Minister:
(b) the Authority:
(c) a member of the staff of the Authority or an agent of the Authority:
(d) a person acting under an authority conferred by the Authority.
  1. Removal
(1) The Minister may remove a member of the Authority from office if the member—
(2) The Minister must give a member who is removed from office under this section notice in writing informing that person of his or her removal from office.
  1. Vacancy
(1) The office of a member becomes vacant if the member––
(2) If the office of a member becomes vacant, the Minister may request the Evaluation Committee recommend the appointment of a suitable person to fill the vacancy.
(3) A person appointed to fill a vacancy holds office for the term that is specified in the member’s letter of appointment and, subject to section 12, that term may extend beyond the remainder of the term of the member whose office became vacant.
  1. Staff and consultants
(1) The Authority may employ any staff and engage on contract for any services any other persons that it considers necessary to perform its functions.
(2) The Authority may determine the remuneration and other conditions of employment of its staff and persons engaged on contracts for services.
(3) The Authority may provide and maintain schemes (whether contributory or not) for the payment of retirement benefits, gratuities, or other allowances to its employees or former employees and their dependants.
  1. Delegation
(1) Subject to subsection (2), the Authority may, by resolution, delegate any of its functions or powers to any of the following:
(2) The Authority must not delegate the power of delegation under this section.
(3) A delegation––
(4) A delegated function or power––
(5) If a delegate purports to act under a delegation, it must be presumed, unless the contrary is established, that the delegate had the delegation and acted under it.
  1. Annual plan
(1) The Authority must, within 6 months after the end of each financial year, prepare a plan setting out the Authority’s proposed activities in the forthcoming financial year and at least the two following financial years.
(2) The Authority must give a copy of its plan to the Minister who must arrange for it to be tabled in Parliament.
  1. Annual report
(1) The Authority must, within 6 months after the end of each financial year, prepare a report on its activities in the preceding financial year.
(2) The report must include the following information in relation to the financial year––
(3) The Authority must give a copy of its report to the Minister who must arrange for it to be tabled in Parliament.

Part 3

Meetings

  1. Meetings of Authority
(1) If the Authority has more than 1 member, meetings of the Authority must be held as often as necessary to enable the Authority to perform its functions.
(2) A meeting of the Authority may be convened by the Chair by giving notice in writing to––
(3) The Chair must convene a meeting on request by another member.
(4) A meeting of the Authority must be presided over by––
(5) The Authority may make rules regulating the procedure to be followed at meetings of the Authority and at meetings of its committees.
(6) The Authority must keep written minutes of all of its meetings and of all meetings of any committee of the Authority.
  1. Quorum for meetings
(1) The quorum for a meeting of the Authority is a majority of its members.
(2) A member who participates in a meeting by telephone, video conferencing, or other electronic means is to be regarded as being present for the meeting if––
  1. Voting at meetings
(1) Subject to subsection (2), each member who is present at a meeting of the Authority has one vote.
(2) The presiding member has a deliberative vote and, if the number of votes for and against a motion is equal, also a casting vote.
(3) Voting must not be carried out by secret ballot.
(4) A decision supported by a majority of the votes cast at a meeting of the Authority at which a quorum is present is the decision of the Authority.
(5) The result of a vote must be recorded in the minutes.
  1. Resolutions without meeting
(1) A resolution is a valid resolution of the Authority, even if it is not passed at a meeting, if––
(2) Subject to subsection (3), the date of a resolution referred to in this section is the date on which the last of the members constituting a majority signs or assents to the resolution.
(3) A resolution proposed under subsection (1) must be referred to a meeting for consideration if any member requests that by notice in writing to the Chair.
(4) A request under subsection (3) must be made within 14 days after the date on which notice referred to in paragraph (1)(b) was given.
  1. Decisions not invalidated

A decision of the Authority is not invalidated solely by––

(a) any defect in the appointment of a member; or
(b) a vacancy among its members; or
(c) the absence of a member from the meeting at which the decision was made; or
(d) any irregularity in the procedures adopted by the Authority that does not affect the decision.
  1. Disclosure of interests
(1) A member must disclose in writing to each other member all interests the member has that could conflict with the proper performance of the functions of the member’s office.
(2) Disclosure must be made as soon as practicable after the member becomes aware of the interest.
(3) A member who has an interest in a particular matter that could conflict with the proper performance of the functions of the office must not perform those functions unless––
(4) For the purposes of subsections (1) and (3), it does not matter whether an interest is direct, indirect, pecuniary, or non-pecuniary, and it does not matter when the interest was acquired.
(5) If the Chair becomes aware that a member who is performing, or about to perform, a function as a member has an interest that could conflict with the proper performance of the function, the Chair may give the member a direction to disclose the interest, or not to perform the function.
(6) The Authority must take reasonable steps to ensure that members of the Authority’s staff, persons otherwise engaged by the Authority, and other persons exercising or performing powers or functions of the Authority make proper and adequate disclosure of their interests.
(7) The Authority must record, and maintain a register of, all disclosures under this section.
  1. Related parties’ interests
(1) A member is taken to have an interest and section 26 applies if––
(2) In this section, “related party” in relation to a member means any of the following:

Part 4

Functions, powers, and duties

  1. Functions of Authority

The Authority has the following functions:

(a) to investigate conduct that may infringe an enactment under which the Authority has an enforcement responsibility:
(b) to promote public understanding of the value of competition and the role of regulation:
(c) to promote the use of internal controls and risk management measures by businesses to ensure compliance with the regulatory enactments:
(d) to take any steps that may be appropriate and authorised by this or any other Act to enforce compliance:
(e) to advise the Minister on matters of competition and regulation:
(f) to perform any other functions conferred by this Act or any other enactment.
  1. General powers of Authority
(1) The Authority has all the powers necessary and convenient for performing its functions.
(2) Without limiting subsection (1), the Authority may––
(3) The Authority has any other powers that are expressly conferred on it by any other enactment.
  1. Power to exchange information
(1) The Authority may provide to an overseas agency any information, or a copy of any document, that the Authority holds, but only if the Authority––
(2) When carrying out its functions, the Authority may use any information, or a copy of any document, provided to it by an overseas agency.
(3) Despite the other provisions of this Part or any cooperation arrangement, the Authority may provide any information to an overseas agency with the consent of the person to whom the information relates.
  1. Power to assist overseas agencies
(1) If the Authority receives a request from an overseas agency to investigate a matter related to the functions of the overseas agency and to provide the overseas agency with information or documents resulting from the investigation (a “cooperation request”), the Authority may comply with the request, but only if it is satisfied that––
(2) The matters to be considered in deciding whether it is appropriate to comply with a cooperation request include––
(3) The Authority may, in complying with a cooperation request, impose conditions relating to any of the following:
(4) The Authority may exercise powers under Part 5 in complying with a cooperation request.
(5) If the Authority exercises a power under Part 5 in complying with a cooperation request, it must specify, in any notice given for the purpose of exercising the power, that it is exercising the power to comply with such a request.
(6) The Authority must not, unless subsection (7) applies, provide a copy of a statement to an overseas agency if the statement––
(7) This subsection applies if the overseas agency gives the Authority a written undertaking––
  1. Power to enter cooperation arrangement
(1) The Minister may, on behalf of the Government, enter into an arrangement (a “cooperation arrangement”) in respect of an overseas agency with––
(2) The Authority may, with the written approval of the Minister, enter into an arrangement (also a “cooperation arrangement”) with an overseas agency.
(3) Without limiting what a cooperation arrangement may contain, a cooperation arrangement––
(4) Before entering into a cooperation arrangement, or giving approval to the Authority to enter into a cooperation arrangement, the Minister must consider—
(5) The Minister must not enter into a cooperation arrangement, or give approval to the Authority to enter into a cooperation arrangement, unless satisfied that entering into the arrangement is consistent with Cook Islands’ international obligations.
(6) If a cooperation arrangement is entered into or amended, then, as soon as practicable, notice of the fact must be published in the Gazette and a copy of the arrangement placed on the Authority’s website.
  1. Power to make confidentiality order
(1) A confidentiality order is an order that prohibits disclosure of information specified in the order except as specified in the order.

(2) The Authority may, on its own initiative or on application by a person, make a confidentiality order relating to any specified information (including information in a document), provided to or obtained by the Authority or an investigator in connection with––
(3) A confidentiality order may be expressed to have effect for any period that is specified in the order.
(4) The Authority may, on its own initiative or on application by a person bound by a confidentiality order, vary or revoke the order.
(5) If a confidentiality order is in effect, a person who discloses information contrary to the order commits an offence and is liable on conviction to––
(6) It is a defence to an offence against subsection (5) that the defendant did not know, and could not reasonably have known, that the disclosure was contrary to the order.
  1. Duty to protect confidentiality
(1) The Authority must establish and maintain reasonable procedural safeguards to prevent the unauthorised disclosure of confidential information.
(2) In this section, “confidential information” means––
(3) In this section, “unauthorised disclosure” means disclosure that is prohibited or not authorised by or under subsection (4).
(4) Disclosure of confidential information is deemed to be authorised where––
  1. Duty to act in good faith
(1) Each member of the Authority must act with integrity, honesty, impartiality, and diligence in the performance of the member’s office.
(2) Each employee of the Authority must comply with the Public Service’s code of conduct as a term of the individual’s appointment.
  1. Duty of transparency
(1) The Authority must, in performing its functions under Parts 5 to 8, observe reasonable standards of procedural fairness, act in a timely fashion, and observe the rules of natural justice.
(2) The Authority must, prior to making a significant substantive or procedural decision under Parts 5 to 8 that affects persons––
(3) The Authority must, as soon as reasonably practicable after making a significant substantive or procedural decision under Parts 5 to 8 that affects persons––

Part 5

Complaints and investigations

Complaints and investigations

  1. Complaints
(1) A person may make a complaint with the Authority that a person has contravened, is contravening or is about to contravene a regulatory enactment.
(2) The Authority must, if asked, assist a person to make a complaint.
  1. Investigations
(1) The Authority may, on its own initiative, carry out an investigation into any conduct that constitutes or may constitute a contravention of a regulatory enactment.
(2) If a complaint is made under section 37, the Authority must carry out an investigation into the conduct to determine whether it constitutes or may constitute a contravention of a regulatory enactment.
(3) The Authority does not have to carry out an investigation if it does not consider it reasonable to do so and may, in particular, refuse to investigate a complaint under section 37 if it is satisfied that––
  1. Referral

If the Minister refers specified conduct or alleged conduct to the Authority under this section, the Authority must––

(a) carry out an investigation to determine whether the specified conduct or alleged conduct occurred and, if it did, whether it constitutes or may constitute a contravention of a regulatory enactment; and
(b) provide a written report on the investigation to the Minister.

Investigators

  1. Appointment of Investigators
(1) The Authority––
(2) An investigator must carry his or her identity card at all times when exercising a power or performing a function under this Act or any other enactment.
(3) If an investigator does not, as soon as practicable after ceasing to be an investigator, return his or her identity card to the Authority, the investigator, commits an offence and is liable on conviction to a fine not exceeding $20,000.
(4) It is a defence to an offence against subsection (3) that the identity card has been lost or destroyed.
(5) A person who interferes with or impedes an investigator exercising a power or performing a function under this Act or any other enactment commits an offence and is liable on conviction to––

Investigative powers

  1. Warnings
(1) This section applies if an investigator suspects, or ought to reasonably suspect, that a person (a “relevant person”) is engaging or has engaged in conduct that is an offence against this Act or any regulatory enactment, or that would make the relevant person liable to a pecuniary penalty under this Act.
(2) The investigator must not exercise a power to question the relevant person about the conduct unless the investigator, or another investigator, has warned the relevant person that the relevant person does not have to answer a question, or do anything else in response to a question, about the conduct, but that anything that the relevant person does say or do may be evidence.
(3) Subsection (4) applies in––
(4) Evidence of what the relevant person said or did when questioned in circumstances set out in subsection (1) is not admissible unless it is established that, before the question was asked, the warning required by subsection (2) was given.
(5) This section does not limit the grounds on which the evidence may be inadmissible.
  1. Self-incrimination
(1) A person is not excused from producing a document or thing as required by section 43, or from answering a question as required by section 44, on the ground that the contents of the document, or the thing, or the answer, may tend to incriminate the person or make the person liable to a fine or pecuniary penalty.
(2) Subsection (3) applies if––
(3) If this subsection applies the contents of the document, the thing, or the answer is not admissible in evidence in a prosecution of the person for an offence against this Act or a regulatory enactment, or in proceedings against the person for a pecuniary penalty.
(4) Subsection (3) does not apply to a prosecution of the person for false or misleading answers (including in respect of an offence against sections 43, 44, or 47).
  1. Requirement to produce documents and things
(1) Where the Authority considers it necessary or desirable for the purposes of carrying out a function or exercising a power under this Act or any regulatory enactment, an investigator may, by notice in writing, require a person to produce any document or thing relevant to an investigation at a time and place specified in the notice.
(2) The notice must indicate the subject matter and purpose of the investigation, and draw attention to the penalties under this Act for––
(3) If a person produces a document or thing as required under subsection (1), an investigator may do either of the following:
(4) If an investigator makes requirement under subsection (3)(b) in writing, the investigator may require the explanation and particulars to be provided in writing.
(5) A person who fails or refuses to comply with a requirement under subsection (1) or (3)(b) commits an offence and is liable on conviction to––
(6) It is a defence to an offence under subsection (5) that the defendant had a reasonable excuse for failing or refusing to comply.
(7) A person who is required under subsection (3)(b) to give an explanation of, or further particulars about, a document or thing commits an offence if the person—
(8) A person who commits an offence against subsection (7) is liable on conviction—
  1. Requirement to answer or respond
(1) An investigator may, by notice in writing, require a person to do either or both of the following:
(2) The notice must indicate the subject matter and purpose of the investigation, and draw attention to the penalties under this Act for failing to comply with the requirement.
(3) A person who fails or refuses to comply with a requirement under subsection (1) commits an offence and is liable on conviction to a penalty not exceeding a fine of $20,000, or imprisonment for 24 months, or both.
(4) It is a defence to an offence against subsection (3) that the defendant had a reasonable excuse for failing or refusing to comply.
(5) A person who attends as required by a notice under subsection (1) and answers a question put to the person by an investigator, or who provides a written response to a question set out in a notice under subsection (1), commits an offence if––
(6) A person who commits an offence against subsection (5) is liable on conviction to a penalty not exceeding a fine of $20,000, or imprisonment for 24 months, or both.
  1. Investigator may administer oath or affirmation
(1) An investigator may––
(2) A person who fails or refuses to comply with a requirement under subsection (1) commits an offence and is liable on conviction to a fine not exceeding $20,000 or imprisonment for a term not exceeding 24 months, or both.
(3) It is a defence to an offence against subsection (2) that the defendant had a reasonable excuse for failing or refusing to comply.
  1. Authority may require statutory declaration
(1) The Authority may require a person giving any explanation, further particulars, answer, or statement to the Authority under this Part to verify the truth of the explanation, particulars, answer or statement, by statutory declaration.
(2) If a person fails to comply with a requirement made under this Part to give any explanation, further particulars, answer, or statement to the Authority, the Authority may require that person to state, by statutory declaration, the reasons for the failure.
(3) For the purpose of subsection (1) or (2), any member of the Authority may administer an oath or affirmation.
  1. False or misleading statements
(1) A person commits an offence if––
(2) If a person commits an offence against subsection (1), the person is liable on conviction to––
(3) It is a defence to an offence against subsection (1) that the defendant did not know, and could not reasonably be expected to have known, that the statement was false or misleading.
(4) A person commits an offence if––
(5) If a person commits an offence against subsection (4), the person is liable on conviction to––
(6) For the purposes of subsections (1) and (4), and without limiting when a statement may be false or misleading, a statement may be false or misleading because it does not include some relevant matter.
  1. Immunity Agreements
(1) The Authority may, in exchange for a person’s cooperation in an investigation or in proceedings under this Act or a regulatory enactment, agree with the person, on any terms it considers appropriate, that it will not take enforcement action against that person or any officer, director, employee or agent of that person in respect of a possible contravention of this Act or a regulatory enactment (“immunity agreement”).
(2) The Authority must not, while an immunity agreement is in force, take enforcement action in relation to a possible contravention of the law to which the immunity agreement applies.
(3) The Authority may terminate an immunity agreement if––
(4) Before terminating an immunity agreement, the Authority must give notice in writing to the other party to the agreement and consider any representations about the proposed termination that are made by that party to the Authority.

Searches

  1. Search warrants
(1) For the purpose of conducting an investigation, an investigator may enter a place and search it for documents and things relevant to the investigation.
(2) An investigator may do so only––
  1. Issue of warrants
(1) A Judge may, on application, issue a warrant for the purpose of this Act.
(2) The application must––
(3) The Judge may require further information.
(4) If it is impracticable to apply for the warrant in person, the application may be made by email, telephone or other appropriate means and––
(5) Without limiting the matters that are relevant to determining whether it is impracticable to apply for the warrant in person, the following are relevant:
(6) While the warrant remains in force, the instrument referred to in subsection (4)(b)(ii) may be used instead of the warrant.
(7) In any proceeding, a court must not find that anything was done under a warrant issued under subsection (4) unless the warrant, signed in accordance with subsection (4)(b)(i), is admitted in evidence in the proceeding.
(8) A warrant under this Act to enter or search a place authorises the investigator named in the warrant, and any other investigator, to execute the warrant with any assistance that is necessary.
  1. Remote access searches
(1) In this section, “remote access search” means a search of a thing such as an Internet data storage facility that does not have a physical address that a person can enter and search.
(2) A warrant may authorise the remote access search of a thing if the Judge issuing the warrant is satisfied that the thing is not located at a physical address that a person can search.
(3) A warrant that is intended to authorize a remote access search must contain, in reasonable detail, particulars of the access information that identifies the thing to be searched remotely.
(4) A person who conducts a remote access search must, on completion of the search, send an electronic message to the email address of the thing searched—
(5) If the person conducting the remote access search is unable to deliver the electronic message required by subsection (4) (or it is returned undelivered), the person must take all reasonable steps to identify the user of the thing searched and to send the information referred to in subsection (4)(a) and (b) to that person.
  1. Remote access search of thing authorised by warrant

Every person executing a search warrant authorising a remote access search may––

(a) use reasonable measures to gain access to the thing to be searched; and
(b) if any intangible material in the thing is the subject of the search or may otherwise be lawfully seized, copy that material (including by means of previewing, cloning, or other forensic methods).
  1. Period of warrants
(1) A warrant is to specify the day, not more than 14 days after its issue, on which it ceases to be in force.
(2) Another warrant may be issued before or after a warrant has ceased to be in force.
  1. Search powers

Every search warrant authorises the investigator executing it:

(a) to enter and search the place, vehicle, or other thing that the person is authorised to enter and search, and any item or items found in that place or vehicle or thing, at any time that is reasonable:
(b) to request any person to assist with the entry and search:
(c) to use any force in respect of any property that is reasonable for the purposes of carrying out the search and any lawful seizure:
(d) to seize anything that is the subject of the search or anything else that may be lawfully seized:
(e) to bring and use in or on the place, vehicle, or other thing searched any equipment, to use any equipment found on the place, vehicle, or other thing, and to extract any electricity from the place, vehicle, or other thing to operate the equipment that is reasonable to use in the circumstances, for the purposes of carrying out the entry and search:
(f) to copy any document, or part of a document, that may lawfully be seized:
(g) to use any reasonable measures to access a computer system or other data storage device located (in whole or in part) at the place, vehicle, or other thing if any intangible material that is the subject of the search may be in that computer system or other device:
(h) if any intangible material accessed under paragraph (g) is the subject of the search or may otherwise be lawfully seized, to copy that material (including by means of previewing, cloning, or other forensic methods either before or after removal for examination):
(i) to take photographs, sound and video recordings, and drawings of the place, vehicle, or other thing searched, and of any thing found in or on that place, vehicle, or other thing, if the person exercising the power has reasonable grounds to believe that the photographs or sound or video recordings or drawings may be relevant to the purposes of the entry and search.
  1. Items of uncertain status may be seized

If a person executing a search warrant is uncertain whether any item found may lawfully be seized, and it is not reasonably practicable to determine whether that item can be seized at the place or vehicle where the search takes place, the person executing the warrant may remove the item for the purpose of examination or analysis to determine whether it may be lawfully seized.

  1. Powers of persons called to assist
(1) Every person called on to assist an investigator executing a search warrant is subject to the control of the investigator with overall responsibility for executing that warrant.
(2) Every person called on to assist an investigator executing a search warrant may:
(3) If a Police officer is assisting an investigator executing a search warrant, that Police officer may, without any direction or supervision by the person he or she is assisting, exercise any power ordinarily exercisable by that Police officer.
(4) The person executing a search warrant must––
(5) Subsection (4) does not apply if the assistant is a Police officer.
  1. Obstruction of search
(1) It is an offence for a person to obstruct or interfere with any person exercising a power under a warrant issued under section 50.
(2) A person who commits an offence against subsection (1) is liable on conviction to—
  1. Destroying or falsifying documents
(1) A person commits an offence if, having been required to produce a document under section 43 (Requirement to produce documents or things) or under a warrant issued under section 50 (Issue of warrants), the person––
(2) A person who commits an offence against subsection (1) is liable on conviction to—

Part 6

Inquiries

  1. Inquiry by Authority
(1) The Authority may conduct an inquiry if it considers that an inquiry is necessary or desirable for the purpose of carrying out the Authority’s functions.
(2) Subject to subsection (3), the Authority must conduct an inquiry into any matter related to the Authority’s functions that the Minister or Parliament refers to the Authority, by written notice specifying terms of reference for the inquiry.
(3) The Authority is not obliged to conduct an inquiry if the Authority considers that it does not have available to it funds or other necessary resources that are reasonably adequate to enable it to do so having regard to its other functions.
  1. Notice of inquiry
(1) The Authority must publish notice of an inquiry by means of the Internet and in any other manner the Authority considers appropriate.
(2) A notice under subsection (1) must specify––
(3) If the inquiry relates to a matter referred to the Authority by the Minister or by Parliament, the notice shall include the terms of reference for the inquiry or specify the location at which the terms of reference may be obtained.
  1. Conduct of inquiry
(1) An inquiry by the Authority––
(2) The Authority is not bound by the rules of evidence in the conduct of an inquiry.
(3) The Authority may exercise any of its powers under Part 5 (complaints and investigations) in conducting an inquiry that relates to a matter referred to the Authority by the Minister or by Parliament.
  1. Inquiry reports
(1) The Authority must deliver a copy of its report on an inquiry to the Minister as soon as reasonably practicable after the completion of the report.
(2) The Authority must identify in a report any information that the Authority considers is confidential information.
(3) If confidential information is excluded from a report, a note to that effect must be included in the report at the relevant place.
(4) The Minister must cause a copy of the report (excluding any confidential information)––

Part 7

Enforcement

  1. Authority may prosecute
(1) Proceedings in relation to a contravention against or arising under this Act or a regulatory enactment may be commenced and continued by the Authority or a person authorised in writing by the Authority to do so.
(2) Subsection (1) does not limit the operation of any other law or the power of the Attorney-General under section 10 of the Crown Law Office Act 1980 relating to the institution and conduct of proceedings.
  1. Administrative settlement

The Authority may settle proceedings with another party on agreed terms, if the Court has not yet determined those proceedings.

Warnings

  1. Warning notice
(1) The Authority may issue a notice (a "warning notice") to a person who has engaged or is engaging or is proposing to engage in conduct that the Authority has reasonable cause to consider would contravene a regulatory enactment.
(2) A warning notice must—
(3) A warning notice may include any one or more of the following requirements:
(4) A warning notice must not require the person to whom the notice is issued to pay a fine or pecuniary penalty.
(5) Before issuing a warning notice to any person, the Authority must:
  1. Effect of warning notice
(1) The Authority must not bring any proceedings against a person in the Court in respect of contravening conduct if––
(2) The Authority may, either of its own volition or on application made to it in writing, extend the compliance period specified in a warning notice, if it considers that there is a good reason for doing so.
(3) The Authority may at any time before the expiry of the compliance period withdraw a warning notice with effect from a date specified in the notice, by notice in writing given to the person to whom the warning notice has been issued.
(4) A person to whom a warning notice has been issued is not obliged to comply with the warning notice but the Authority may bring proceedings in the Court against the person in respect of the contravening conduct if, on expiry of the compliance period, the Authority has reasonable cause to believe that the person—
(5) If the Authority brings proceedings in the Court against a person in respect of the contravening conduct, the Court may take into account, as an aggravating factor in determining any penalty or other remedy, that the person had the opportunity to comply with a warning notice and failed to do so.
(6) The Authority may publish a warning notice by making it available to the public by the Internet but, before doing so, must give the person to whom the warning notice has been or will be issued a reasonable opportunity to make submissions on why the warning notice should not be published in whole or in part.
(7) If a person to whom a warning notice has been issued enters into an undertaking with the Authority in respect of the contravening conduct, the warning notice is deemed, from the date of the undertaking, never to have been made.

Undertakings

  1. Undertakings

(1) The Authority may accept from a person an undertaking to take any action or refrain from taking any action that the Authority considers appropriate to address its concerns about a possible contravention of a regulatory enactment.

(2) The action referred to in subsection (1) does not include making a payment to the Government.

(3) If the Authority accepts an undertaking under this section, it may agree––

(a) not to commence an investigation or, if it has commenced an investigation, to terminate it; and

(b) not to bring proceedings in the Court or, if it has brought proceedings, to terminate them.

  1. Consequences of accepting undertaking
(1) If the Authority accepts an undertaking under section 67, it may not––
(2) To avoid doubt, the Authority may still commence or continue an investigation or bring or continue proceedings in the Court, after accepting an undertaking under this section––
(3) If the Authority decides to accept an undertaking under section 67, it must, as soon as practicable after accepting it––
  1. Withdrawal of acceptance of undertaking
(1) The Authority may, by notice in writing given to the person who made the undertaking, withdraw its acceptance of an undertaking, with effect from the date specified in the notice, if—
(2) The date specified in the notice given under subsection (1) may be earlier than the date on which the notice is given if the Authority is satisfied that any information—
(3) If an acceptance is withdrawn under this section—
(4) The Authority may not bring proceedings authorized by subsection (3) more than 2 years after the date specified in the notice given under subsection (1).
  1. Variation, substitution, and release of undertaking
(1) At any time after the Authority has accepted an undertaking, it may, if it is satisfied that a variation of the undertaking or new undertaking will address its concerns about a possible contravention of a regulatory enactment, accept from the person who has made the undertaking––
(2) The Authority may release any person from an undertaking that the person has made under this Part if—
  1. Enforcement of undertaking
(1) If the Authority considers that a person has failed to comply with any undertaking that the person has made under this Part and which has been accepted by the Authority, it may apply to the Court for an order under subsection (2).
(2) If the Court is satisfied that a person has failed to comply with an undertaking that the person has made under this Part and that has been accepted by the Authority, the Court may make all or any of the following orders:
  1. Register of undertakings
(1) The Authority must establish and maintain a register of undertakings made under this Part containing—
(2) The Authority may omit confidential information from any entry made in the register under this section and if confidential information has been omitted, that fact must be disclosed on the register.
(3) The Authority must make the register available for inspection by any person—
  1. Procedural requirements
(1) This section applies if the Authority proposes to––
(2) Before the Authority takes any action referred to in subsection (1) it must give notice of the proposed action by means of the Internet and in any other manner it considers appropriate to bring the proposed action to the attention of those it considers likely to be affected by it.
(3) The Authority must have regard to any representations made to it in response to a notice under subsection (2).
(4) If the Authority decides to proceed with the proposed action it must––
(5) If the Authority decides not to proceed with the proposed action it must––

Part 8

Reviews and appeals

Judicial review

  1. Judicial review

Nothing in this Part limits the rights of a person under the Judicature Act 1980-81 to apply for judicial review of a decision made by the Authority or the Review Panel.

  1. Decision remains in effect

If a person brings judicial review proceedings in respect of any decision of the Authority or the Review Panel—

(a) that decision remains effective until determined otherwise as a result of those judicial review proceedings; and
(b) the Court may not stay the effect of that decision of the Authority or the Review Panel or grant any other kind of interim relief.

Review Panel

  1. Application for review
(1) A party to a reviewable decision by the Authority may apply for review of that decision by the Review Panel.
(2) For the purposes of this Part, a “reviewable decision” is a decision of the Authority that is expressly identified in a regulatory enactment as reviewable by the Review Panel.
(3) An application for review of a decision must––
  1. Panel of experts
(1) The Queen’s Representative may, by Order in Executive Council, on the advice of the Minister, appoint a panel of experts from which members may be appointed to sit as a Review Panel.
(2) A person must not be appointed to the panel of experts unless the Minister is satisfied that the person has appropriate skills and expertise in industry, commerce, economics, law, accountancy, public administration, or consumer affairs.
(3) A member of the panel of experts must be appointed for a term of 5 years and on conditions determined by Cabinet on the recommendation of the Minister.
(4) A member may resign from the panel of experts by giving the Queen’s Representative 3 months’ notice in writing of the member’s intention to resign.
(5) The following persons must not be appointed to the panel of experts:
(6) The Minister must remove from the panel of experts a person referred to in subsection (5), as soon as practicable after the Minister becomes aware of that circumstance.
(7) To avoid doubt, a person may be eligible for appointment to the panel of experts despite not being resident in the Cook Islands.
  1. Review Panel
(1) The Minister must, within 14 days of receiving an application for review of a reviewable decision, appoint a Review Panel comprising 3 members of the panel of experts to consider and determine the application for review.
(2) The Review Panel must not include any member of the panel of experts who has a direct or indirect pecuniary interest in the outcome of the review.
(3) A member of a Review Panel is entitled to be paid remuneration and allowances determined by Cabinet on the recommendation of the Minister.
  1. Decision remains in effect unless stayed
(1) Subject to subsection (2), any decision of the Authority remains effective until determined otherwise as a result of Review Panel proceedings.
(2) The Review Panel may stay the operation of the decision of the Authority to which an application for review relates on any terms that the Review Panel considers appropriate.
(3) If it decides to stay the operation of a decision of the Authority, the Review Panel must ensure that notice of its decision––
  1. Review period
(1) Subject to subsection (2), the Review Panel must decide an application for review within 8 weeks of receiving the application (“review period”).
(2) The review period may be extended––
(3) If the Review Panel has not determined the application before the expiry of the review period, the decision of the Authority is be deemed to be confirmed.
  1. Review procedure
(1) On a review the Review Panel––
(2) After considering an application for review, the Review Panel must either––
(3) If a matter is returned to the Authority by the Review Panel, the Authority must remake its decision in accordance with any directions of the Review Panel, including any directions in relation to the retrospective effect of the remade decision.
(4) The Review Panel must give written notice of the Review Panel’s decision, and the reasons for that decision to––
(5) Except as provided in subsection (6), the Review Panel has no power to award costs against a party to a review.
(6) The costs of the Review Panel must be borne by the Authority to the extent that the application is successful and by the applicant to the extent that the application is unsuccessful, as determined by the Review Panel.

Part 9

Financial

  1. Funds

The funds of the Authority consist of––

(a) all money paid by the Government to the Authority and appropriated for that purpose by Parliament; and
(b) all other money and property, including fees, levies, interest, and accumulations of income, received by the Authority.
  1. Fees and charges
(1) The Authority may charge a fee for––
(2) The amount of the fees chargeable under this section must be prescribed in regulations made under section 100.

(3) The amount of any fee that may be prescribed in a regulation under section 100 is not limited by reference to the amount of administrative or other costs incurred or likely to be incurred in relation to the application or service to which the fee relates.
(4) A regulation under section 100 may provide for––
(5) The amount of any unpaid fee is recoverable in the Court as a debt due to the Authority.
  1. Levies
(1) A supplier of regulated goods or services, or a prescribed class of suppliers of regulated goods or services, must pay to the Authority the levy determined in accordance with regulations made under section 100.
(2) The amount of any levy that may be prescribed in a regulation under section 100 is not limited by reference to the amount of administrative or other costs incurred or likely to be incurred in relation to the application or service to which the levy relates.
(3) The amount of any unpaid levy is recoverable in the Court as a debt due to the Authority.
  1. Expenses

The expenses of the Authority, including the remuneration of members and staff of the Authority, must be paid out of the funds of the Authority.

  1. Investment of funds

Funds not immediately required by the Authority may be invested in a manner approved by the Financial Secretary.

  1. Exemption from tax
(1) The Authority is exempt from taxation under the Income Tax Act 1997 and the Value Added Tax Act 1997.
(2) To avoid doubt, subsection (1) does not apply to or in relation to any remuneration, benefits or expenses paid out of the funds of the Authority to a member of the Authority.
  1. Accounts, audit, and estimates
(1) The Authority must—
(2) The statement of accounts must give a true and fair view of—
(3) The statement of accounts must include the details referred to in subsections 25(1) and (2) of the Ministry of Finance and Economic Management Act 1995-96, as they relate to the Authority.
  1. Authority to appoint auditor
(1) As soon as practicable after the commencement of this section, the Authority must appoint an auditor to audit its statement of accounts.
(2) The auditor must, as soon as practicable after the end of each financial year—
  1. Financial year

The financial year of the Authority is—

(a) the period beginning on the day on which this Act comes into operation and ending on the next 30 June; and
(b) the period of 12 months ending on 30 June in each subsequent year.

Part 10

General and miscellaneous provisions

Offences

  1. Ancillary contraventions
(1) A person must not––
(2) A person who contravenes subsection (1) commits an offence and is liable on conviction to the penalty provided for contravention of the relevant provision of this Act or the relevant regulatory enactment.
  1. States of mind, etc, of bodies corporate
(1) Subsection (2) applies if in proceedings under this Act or a regulatory enactment, if it is established that a director, employee or agent of a body corporate—
(2) If this section applies it is presumed that the body corporate engaged in the conduct and had the state of mind for the conduct unless the body corporate establishes that it took reasonable precautions and exercised due diligence to avoid the conduct.
(3) Subsection (4) applies if, in proceedings under this Act or a regulatory enactment, if it is established that an employee or agent of an individual–
(4) If this subsection applies, it is presumed that the individual engaged in the conduct and had the state of mind for the conduct unless the individual establishes that he or she took reasonable precautions and exercised due diligence to avoid the conduct.
  1. References to engaging in conduct
(1) A reference in section 92 to engaging in conduct includes a reference to failing or refusing to engage in conduct.
(2) A reference in section 92 to the state of mind of a person includes a reference to––
(3) A reference in section 92 to having a state of mind for conduct includes having a state of mind in connection with that conduct.
(4) A reference in this Act or a regulatory enactment to a decision of an association includes a decision made on behalf of the association by an agent or representative acting within the scope of his or her authority.
  1. General penalty for offences, pecuniary penalties, and other orders
(1) A person who commits an offence under this Act, or regulations made under this Act, for which no penalty is otherwise provided by this Act or by the regulations is liable on conviction to–
(2) If, after carrying out such investigation as it considers appropriate, the Authority considers it appropriate to do so, it may apply to the Court for a pecuniary penalty to be imposed on any person it has reasonable cause to believe—
(3) If the Court is satisfied, on application by the Authority under subsection (2), that a person has contravened or been knowingly concerned in a contravention of this Act, or any regulatory enactment, or a condition of any telecommunications licence, the Court may make any or all of the following orders:
(4) The standard of proof in proceedings under this section is the standard of proof that applies in civil proceedings.
(5) An application under subsection (2) may not be made more than 1 year after the contravention ceased or the Authority became aware of the contravention, whichever is the later.
  1. Injunctions
(1) Where on application of the Authority or any other person, the Court is satisfied that a person has engaged, or is proposing to engage, in conduct that constitutes or would constitute—
(2) Where in the opinion of the Court it is desirable to do so, the Court may grant an interim injunction pending determination of an application under subsection (1).
(3) The power of the Court to grant an injunction restraining a person from engaging in conduct may be exercised—
(4) The power of the Court to grant an injunction requiring a person to do an act or thing may be exercised—
(5) Where the Authority makes an application to the Court for the grant of an injunction under subsection (1), the Court shall not require the Authority or any other person, as a condition of granting an interim injunction under subsection (2), to give an undertaking as to damages.

Miscellaneous

  1. Legal professional privilege
(1) This Act does not affect the operation of the law relating to legal professional privilege.
(2) Subsection (1) does not affect any requirement under this Act to disclose the name and address of a client of a person.
  1. Authority may participate in proceedings

The Authority may, with leave of the Court, or at the invitation of the Court, be joined as a party to or otherwise participate in proceedings involving any alleged contravention of a regulatory enactment.

  1. Court may give advisory opinions
(1) The Court may, on the application of the Authority, make an order as to the interpretation, operation or effect of a provision of this Act or a regulatory enactment.
(2) If it appears to the Court that a person has or may have an interest of any kind that may be affected by a proposed order, the Court must make any orders as it considers appropriate for the person to be notified of the application and to be joined in the proceeding.
(3) The Authority must give effect to any final order under this section.
  1. Evidence of documents
(1) Any determination, decision, rule, regulation, order, or other document of the Authority given by the Authority under or for the purposes of this Act or any other regulatory enactment shall be sufficiently given if it is—
(2) A copy of a determination, decision, rule, regulation, order, or other document of the Authority that is certified to be a true copy by an employee of the Authority authorised to certify copies of the Authority’s documents shall be received in all courts as evidence of the determination, decision, rule, regulation, order, or other document.
(3) A document purporting to be a copy of a determination, decision, rule, regulation, order, or other document of the Authority and to be certified to be a true copy in accordance with subsection (2) must, unless the contrary is established, be deemed to be a true copy and to be so certified.

Regulations

  1. Regulations
(1) The Queen’s Representative may, by Order in Executive Council, on the advice of the Minister given in accordance with a recommendation of the Authority, make regulations providing for any matters contemplated by this Act, necessary for its full administration, or necessary for giving it full effect.
(2) Regulations made under subsection (1) may include (without limitation) regulations––

This Act is administered by the Ministry of Finance and Economic Management.

Printed under the authority of the Cook Islands Parliament—2020.


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