(1) The Board, the
Complaints Committee, or the Law Complaints Officer exercising the power of
that committee, the Disciplinary Tribunal or an examiner appointed under
section 142 may disclose to the Australian Securities and Investment
Commission information concerning an incorporated legal practice or a former
incorporated legal practice that has been acquired in connection with the
exercise of functions under this Act.
(2) The information
may be provided despite any law relating to secrecy or confidentiality
(including any provisions of this Act).