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NATIONAL SECURITY LEGISLATION AMENDMENT (ESPIONAGE AND FOREIGN INTERFERENCE) BILL 2017






                             2016 - 2017 - 2018





               THE PARLIAMENT OF THE COMMONWEALTH OF AUSTRALIA





                          HOUSE OF REPRESENTATIVES






       NATIONAL SECURITY LEGISLATION AMENDMENT (ESPIONAGE AND FOREIGN
                           INTERFERENCE) BILL 2017




                    SUPPLEMENTARY EXPLANATORY MEMORANDUM



             Amendments to be Moved on Behalf of the Government





                       (Circulated by authority of the
            Attorney-General, the Honourable Christian Porter MP)
AMENDMENTS TO THE NATIONAL SECURITY LEGISLATION (ESPIONAGE AND FOREIGN
INTERFERENCE) BILL 2017

(Government)


GENERAL OUTLINE


  1. The National Security Legislation (Espionage and Foreign Interference)
     Bill 2017 ('the Bill') was introduced into the House of
     Representatives on 7 December 2017 and referred to the Parliamentary
     Joint Committee on Intelligence and Security (PJCIS) for inquiry. The
     PJCIS tabled its report on the Bill on 7 June 2018 and recommended
     that, following implementation of the recommendations in its report,
     the Bill be passed. The Government has accepted all of the
     recommendations made by the PJCIS and is moving a number of amendments
     to the Bill to implement them. A table of the recommendations and the
     Government's approach to implementation is at Attachment A.

Amendments to secrecy offences

  2. The amendments to the secrecy offences in Schedule 2 of the Bill will:

         . narrow the definitions of inherently harmful information and
           causes harm to Australia's interests

         . narrow the definition of security classification to mean a
           classification of TOP SECRET or SECRET that is applied in
           accordance with the policy framework developed by the
           Commonwealth, or any other equivalent classification or marking
           prescribed by regulations

         . remove the application of strict liability to the physical
           element that information has a security classification but apply
           it to other aspects of the definition of security
           classification, which are technical matters and not relevant to
           the defendant's culpability

         . create separate offences that apply to non-Commonwealth officers
           that are narrower in scope and attract lower penalties than
           those applying to Commonwealth officers and only apply to the
           most serious and dangerous conduct

         . reduce the maximum penalties for secrecy offences

         . strengthen the defence for journalists at subsection 122.5(6)
           by:

               o removing any requirement for journalists to demonstrate
                 that their reporting was 'fair and accurate'

               o ensuring the defence is available where a journalist
                 reasonably believes that their conduct was in the public
                 interest

               o clarifying that the defence is available for editorial and
                 support staff (including editors, lawyers and
                 administrative staff) as well as journalists themselves

               o ensuring the defence is available where administrative
                 support staff are working at the direction of a journalist,
                 editor or lawyer who reasonably believes that conduct was
                 in the public interest

         . broaden defences to cover holding, removing, or otherwise
           dealing with information (not just communication of information)

         . provide a defence for a person who reports a crime or reports
           maladministration in relation to a Commonwealth criminal process
           or the exercise of a Australian Federal Police function

         . provide a defence for communication of, or dealings with,
           information for the purpose of legal advice

         . ensure that integrity agency staff do not bear an evidential
           burden for defences, given the statutory limitations on their
           ability to give evidence

         . narrow the offences of failing to comply with a direction
           regarding sensitive information (at subsections 122.1(4) and
           122.2(4)) so that they only apply where the failure to comply
           with a direction results in a risk to security

         . require that prior to proceedings being initiated for a secrecy
           offence:

               o the Attorney-General must consent to a prosecution,
                 including consideration of whether the conduct is covered
                 by a defence

               o if the prosecution relies on the fact that information is
                 security classified-the Attorney-General has certified that
                 it was appropriate for the information to have a security
                 classification

         . limit the aggravating factor at subparagraph 122.3(1)(b)(v) to
           persons holding a security clearance allowing access to
           information classified as SECRET or above

         . apply a sunset period of five years to the offence at subsection
           122.4 (unauthorised disclosure of information by current and
           former Commonwealth officers), and

         . require that any material incorporated into regulations to
           prescribe the meaning of 'proper place of custody' is publicly
           available.

Amendments to espionage offences

  3. The amendments to the espionage offences in Schedule 1 of the Bill
     will:

         . narrow the scope of the espionage offence at section 91.3 to
           where the person's primary purpose in dealing with the
           information was to communicate or make it available to a foreign
           principal

         . remove the application of strict liability to the physical
           element that information has a security classification but apply
           it to other aspects of the definition of security
           classification, which are technical matters and not relevant to
           the defendant's culpability

         . create a new defence to some espionage offences that applies
           where information has previously been published and the person
           reasonably believed that further publication of the information
           would not prejudice Australia's national security

         . limit the aggravating factor at subparagraph 91.6(1)(b)(v) to
           persons holding a security clearance allowing access to
           information classified as SECRET or above

         . if the prosecution relies on the fact that information is
           security classified, require the Attorney-General to certify,
           prior to proceedings being initiated, that it was appropriate
           for the information to have a security classification, and

         . require that any material incorporated into regulations to
           prescribe the meaning of 'security classification' is publicly
           available.

Amendments to foreign interference and sabotage offences

  4. The amendments to the foreign interference and sabotage offences in
     Schedule 1 of the Bill will:

         . clarify that the offence of supporting a foreign intelligence
           agency is limited to material support

         . narrow the sabotage offences of introducing a vulnerability to
           public infrastructure at sections 82.7 and 82.8 to where a
           person intends or is reckless as to prejudicing national
           security (but not other types of harm), and

         . create a new defence to sabotage offences for private owners or
           operators of public infrastructure

Amendments to treason, treachery and other threats to security


  5. The amendments to the treason, treachery and other related offence in
     Schedule 1 of the Bill will:

         . ensure the good faith defence (at section 80.3 of the Criminal
           Code) is available for the offence of advocating mutiny at
           section 83.1

         . require the Attorney-General to consider whether conduct might
           fall within the good faith defence in deciding whether to
           consent to a prosecution of the offence of advocating mutiny

         . provide a defence to the offence of military-style training (at
           section 83.3) for staff of the United Nations or International
           Committee of the Red Cross who are engaged in humanitarian
           activities, and

         . reduce the penalty for the offence of interference with
           political rights and duties (at section 83.4) from 10 years to
           three years.

Other amendments


  6. The amendments will also:

         . require the Independent National Security Legislation Monitor to
           review the new secrecy, espionage, foreign interference and
           related provisions three years after commencement of those
           provisions

         . carve out the secrecy offences in Division 122 and the offence
           at section 83.4 (interference with political rights and duties)
           from the definition of 'national security offence' at section 3
           of the Australian Citizenship Act 2007 so that a person cannot
           be denied Australian citizenship on the basis that they have
           committed such an offence

         . carve out the offence at section 82.9 (preparing for sabotage
           offences) from the scope of section 35A of the Australian
           Citizenship Act 2007 so that the Minister cannot revoke a
           person's citizenship for being convicted of that offence

         . include the Division 92 (foreign interference) offences within
           the scope of section 35A of the Australian Citizenship Act 2007
           so that the Minister can revoke a person's citizenship for being
           convicted of a foreign interference offence, if other relevant
           criteria is met

         . limit the presumption against bail in section 15AA of the Crimes
           Act to foreign interference offences where there is death or a
           substantial risk of death, and

         . apply a minimum non-parole period to only the most serious
           espionage offences (at subsections 91.1(1) and 91.2(1)) rather
           than all espionage offences.

FINANCIAL IMPACT


  7. The amendments to the Bill have no financial impact on Government
     revenue.

 ACRONYMS


|ABC                 |Australian Broadcasting Corporation              |
|ADF                 |Australian Defence Force                         |
|AFP                 |Australian Federal Police                        |
|ASIO Act            |Australian Security Intelligence Organisation Act|
|                    |1979                                             |
|Australian          |Australian Citizenship Act 2007                  |
|Citizenship Act     |                                                 |
|CDPP                |Commonwealth Director of Public Prosecutions     |
|Criminal Code       |Criminal Code Act 1995                           |
|Guide to Framing    |Guide to Framing Commonwealth Offences,          |
|Commonwealth        |Infringement Notices and Enforcement Powers      |
|Offences            |                                                 |
|CRC                 |Convention on the Rights of the Child            |
|Freedom of          |Freedom of Information Act 1982                  |
|Information Act     |                                                 |
|ICCPR               |International Covenant on Civil and Political    |
|                    |Rights                                           |
|IRCM                |International Red Cross Red Crescent Movement    |
|IGIS                |Inspector-General Intelligence and Security      |
|IGIS Act            |Inspector-General of Intelligence and Security   |
|                    |Act 1986                                         |
|Migration Act       |Migration Act 1958                               |
|OAIC                |Office of the Australian Information Commissioner|
|PID                 |Public interest disclosures                      |
|PID Act             |Public Interest Disclosure Act 2013              |
|PJCIS               |Parliamentary Joint Committee on Intelligence and|
|                    |Security                                         |
|PJCIS Report        |Advisory Report on the National Security         |
|                    |Legislation Amendment (Espionage and Foreign     |
|                    |Interference) Bill 2017, Parliamentary Joint     |
|                    |Committee on Intelligence and Security, June 2018|
|SBS                 |Special Broadcasting Service Corporation         |
|Statelessness       |1961 Convention on the Reduction of Statelessness|
|Convention          |                                                 |
|UN                  |United Nations                                   |




STATEMENT OF COMPATIBILITY WITH HUMAN RIGHTS

National Security Legislation Amendment (Espionage and Foreign
Interference) Bill 2017

  8. The amendments to the Bill are compatible with the human rights and
     freedoms recognised or declared in the international instruments
     listed in section 3 of the Human Rights (Parliamentary Scrutiny) Act
     2011.

Overview of the Bill


  9. The proposed amendments to the National Security Legislation
     (Espionage and Foreign Interference) Bill 2017 (the Bill) implement
     the recommendations of the Parliamentary Joint Committee on
     Intelligence and Security (PJCIS) report on the Bill.

Amendments to secrecy offences

 10. The amendments to the secrecy offences in Schedule 2 of the Bill will:

         . narrow the definitions of inherently harmful information and
           causes harm to Australia's interests

         . narrow the definition of security classification to mean a
           classification of TOP SECRET or SECRET that is applied in
           accordance with the policy framework developed by the
           Commonwealth, or any other equivalent classification or marking
           prescribed by regulations

         . remove the application of strict liability to the physical
           element that information has a security classification but apply
           it to other aspects of the definition of security
           classification, which are technical matters and not relevant to
           the defendant's culpability

         . create separate offences that apply to non-Commonwealth officers
           that are narrower in scope and attract lower penalties than
           those applying to Commonwealth officers and only apply to the
           most serious and dangerous conduct

         . reduce the maximum penalties for secrecy offences

         . strengthen the defence for journalists at subsection 122.5(6)
           by:

               o removing any requirement for journalists to demonstrate
                 that their reporting was 'fair and accurate'

               o ensuring the defence is available where a journalist
                 reasonably believes that their conduct was in the public
                 interest

               o clarifying that the defence is available for editorial and
                 support staff (including editors, lawyers and
                 administrative staff) as well as journalists themselves

               o ensuring the defence is available where administrative
                 support staff are working at the direction of a journalist,
                 editor or lawyer who reasonably believes that conduct was
                 in the public interest

         . broaden defences to cover holding, removing, or otherwise
           dealing with information (not just communication of information)

         . provide a defence for a person who reports a crime or reports
           maladministration in relation to a Commonwealth criminal process
           or the exercise of a Australian Federal Police function

         . provide a defence for communication of, or dealings with,
           information for the purpose of legal advice

         . ensure that integrity agency staff do not bear an evidential
           burden for defences, given the statutory limitations on their
           ability to give evidence

         . narrow the offences of failing to comply with a direction
           regarding sensitive information (at subsections 122.1(4) and
           122.2(4)) so that they only apply where the failure to comply
           with a direction results in a risk to security

         . require that prior to proceedings being initiated for a secrecy
           offence:

               o the Attorney-General must consent to a prosecution,
                 including consideration of whether the conduct is covered
                 by a defence

               o if the prosecution relies on the fact that information is
                 security classified-the Attorney-General has certified that
                 it was appropriate for the information to have a security
                 classification

         . limit the aggravating factor at subparagraph 122.3(1)(b)(v) to
           persons holding a security clearance allowing access to
           information classified as SECRET or above

         . apply a sunset period of five years to the offence at subsection
           122.4 (unauthorised disclosure of information by current and
           former Commonwealth officers), and

         . require that any material incorporated into regulations to
           prescribe the meaning of 'proper place of custody' is publicly
           available.

Amendments to espionage offences

 11. The amendments to the espionage offences in Schedule 1 of the Bill
     will:

         . narrow the scope of the espionage offence at section 91.3 to
           where the person's primary purpose in dealing with the
           information was to communicate or make it available to a foreign
           principal

         . remove the application of strict liability to the physical
           element that information has a security classification but apply
           it to other aspects of the definition of security
           classification, which are technical matters and not relevant to
           the defendant's culpability

         . create a new defence to some espionage offences that applies
           where information has previously been published and the person
           reasonably believed that further publication of the information
           would not prejudice Australia's national security

         . limit the aggravating factor at subparagraph 91.6(1)(b)(v) to
           persons holding a security clearance allowing access to
           information classified as SECRET or above

         . if the prosecution relies on the fact that information is
           security classified, require the Attorney-General to certify,
           prior to proceedings being initiated, that it was appropriate
           for the information to have a security classification, and

         . require that any material incorporated into regulations to
           prescribe the meaning of 'security classification' is publicly
           available.

Amendments to foreign interference and sabotage offences

 12. The amendments to the foreign interference and sabotage offences in
     Schedule 1 of the Bill will:

         . clarify that the offence of supporting a foreign intelligence
           agency is limited to material support

         . narrow the sabotage offences of introducing a vulnerability to
           public infrastructure at sections 82.7 and 82.8 to where a
           person intends or is reckless as to prejudicing national
           security (but not other types of harm), and

         . create a new defence to sabotage offences for private owners or
           operators of public infrastructure

Amendments to treason, treachery and other threats to security


 13. The amendments to the treason, treachery and other related offence in
     Schedule 1 of the Bill will:

         . ensure the good faith defence (at section 80.3 of the Criminal
           Code) is available for the offence of advocating mutiny at
           section 83.1

         . require the Attorney-General to consider whether conduct might
           fall within the good faith defence in deciding whether to
           consent to a prosecution of the offence of advocating mutiny

         . provide a defence to the offence of military-style training (at
           section 83.3) for staff of the United Nations or International
           Committee of the Red Cross who are engaged in humanitarian
           activities, and

         . reduce the penalty for the offence of interference with
           political rights and duties (at section 83.4) from 10 years to
           three years.

Other amendments


 14. The amendments will also:

         . require the Independent National Security Legislation Monitor to
           review the new secrecy, espionage, foreign interference and
           related provisions three years after commencement of those
           provisions

         . carve out the secrecy offences in Division 122 and the offence
           at section 83.4 (interference with political rights and duties)
           from the definition of 'national security offence' at section 3
           of the Australian Citizenship Act 2007 so that a person cannot
           be denied Australian citizenship on the basis that they have
           committed such an offence

         . carve out the offence at section 82.9 (preparing for sabotage
           offences) from the scope of section 35A of the Australian
           Citizenship Act 2007 so that the Minister cannot revoke a
           person's citizenship for being convicted of that offence

         . include the Division 92 (foreign interference) offences within
           the scope of section 35A of the Australian Citizenship Act 2007
           so that the Minister can revoke a person's citizenship for being
           convicted of a foreign interference offence, if other relevant
           criteria is met

         . limit the presumption against bail in section 15AA of the Crimes
           Act to foreign interference offences where there is death or a
           substantial risk of death, and

         . apply a minimum non-parole period to only the most serious
           espionage offences (at subsections 91.1(1) and 91.2(1)) rather
           than all espionage offences.

Human rights implications


 15. The amendments are consistent with Australia's human rights
     obligations and engage the following human rights, which were
     identified in the Statement of Compatibility in the Explanatory
     Memorandum to the Bill, as introduced and read for a second time in
     the House of Representatives on 7 December 2017:

         . the prohibition of torture, or cruel, inhuman and degrading
           treatment or punishment in Article 7 of the International
           Covenant on Civil and Political Rights (ICCPR)

         . the right to liberty of person and freedom from arbitrary
           detention in Article 9(1) of the ICCPR

         . the right to trial within a reasonable period or to release in
           Article 9(3) of the ICCPR

         . the right to be tried without undue delay in Article 14(3)(c) of
           the ICCPR

         . the right to be presumed innocent in Article 14(2) of the ICCPR,
           and

         . the right to opinion and freedom of expression in Article 19 of
           the ICCPR.

 16. The amendments to include foreign interference offences within the
     scope of 35A of the Australian Citizenship Act 2007 also engage the
     following additional human rights:

         . the right to freedom of movement and choice of residence in
           Article 12(1) of the ICCPR

         . the right to leave a country and enter one's own country in
           Article 12(2) and (4) of the ICCPR

         . rights in relation to the expulsion of aliens in Article 13 of
           the ICCPR

         . the right to equality before the courts and tribunals in Article
           14 of the ICCPR

         . the right to equality before the law in Article 26 of the ICCPR

         . the best interests of the child in Article 3 of the Convention
           on the Rights of the Child (CRC), and

         . the right of children to nationality, identity and family in
           Article 24 of the ICCPR and Article 7 of the CRC, and

         . the right to the protection of the family in Article 23 of the
           ICCPR.

 17. The way in which the proposed Government amendments to the Bill impact
     upon the above human rights is outlined below.

Human rights impacted by the Government amendments


Prohibition of torture, or other cruel, inhuman or degrading treatment or
punishment


 18. Article 7 of the ICCPR states that no one shall be subjected to
     torture or to cruel, inhuman or degrading treatment or punishment. The
     text of the Article 7 allows no limitation.

 19. The Bill engages the prohibition on torture, cruel, inhuman or
     degrading treatment by providing for penalties of imprisonment, which
     may amount to cruel, inhuman or degrading treatment where their
     application is disproportionate to the offence committed. The
     amendments will significantly reduce the penalties for secrecy
     offences and the offence of interference with political rights and
     duties.

 20. In this regard, the amendments will improve the proportionality of the
     penalties to the objective of deterring and punishing a worst case
     scenario, including repeat offences.

Right to liberty and freedom from arbitrary detention


 21. Article 9(1) of the ICCPR states that everyone has the right to
     liberty and security of person and that no one shall be subjected to
     arbitrary arrest or detention. Under Article 9(3) the right to liberty
     extends to the right to be tried within a reasonable period or to be
     released. Limitations on the right to liberty are permitted to the
     extent that they are 'in accordance with such procedures as are
     established by law', provided that the law and the enforcement of it
     is not arbitrary, and where they are reasonable, necessary and
     proportionate to achieve a legitimate objective.

Penalties of imprisonment

 22. The Bill limits the right to liberty by imposing penalties of
     imprisonment for the offences contained in Schedules 1 and 2. The
     amendments will significantly reduce the penalties for secrecy
     offences and the offence of interference with political rights and
     duties.

 23. In this regard, the amendments will improve the proportionality of the
     penalties to the objective of deterring and punishing a worst case
     scenario, including repeat offences.

Defences

 24. The amendments will also improve the ability of persons at risk of
     deprivation of liberty to justify their actions and defend the
     criminal charge against them by:

         . broadening the defences for secrecy offences at subsections
           122.5(2), (3), (4), (5), (6), (8), and (9) to cover holding,
           removing, or otherwise dealing with information (not just
           communication of information)

         . strengthening the defence for journalists at subsection 122.5(6)

         . creating additional specific defences applying to the secrecy
           offences for:

               o information dealt with, or communicated to, to the
                 Australian Information Commissioner for the purpose of the
                 Commissioner exercising a power or performing a function or
                 duty

               o dealing with information, or communicating information, in
                 accordance with the Freedom of Information Act 1982

               o reporting a crime or reporting maladministration in
                 relation to Commonwealth criminal process or the exercise
                 of AFP functions

               o obtaining or providing legal advice

         . creating a new defence to sabotage offences that is available to
           private owners or operators of public infrastructure

         . creating a new defence to some espionage offences that applies
           where information has previously been published and the person
           reasonably believed that further publication of the information
           would not prejudice Australia's national security

         . ensuring the good faith defence at section 80.3 of the Criminal
           Code is available for the offence of advocating mutiny (at
           section 83.1), and

         . creating a defence to the offence of military-style training (at
           section 83.3) for staff of the United Nations or International
           Committee of the Red Cross engaged in humanitarian work.

Presumption against bail

 25. The Bill limits the right to liberty by imposing a presumption against
     bail for offences including treachery, espionage and foreign
     interference. The amendments will limit the circumstances in which the
     presumption against bail applies in foreign interference offences to
     where there is the death of a person or substantial risk of death
     (consistent with the approach for treachery and espionage offences).
     In this respect, the amendments will improve the ability of accused
     persons to be granted temporary release pending criminal proceedings.

Attorney-General's consent prior to trial

 26. Under the Bill, the consent of the Attorney-General is required for
     the prosecution of an offence of espionage, foreign interference,
     sabotage, theft of trade secrets, or other threats to security. The
     amendments will extend the requirement for the Attorney-General's
     consent to also apply to all secrecy offences in Division 122.

 27. The requirement for the Attorney-General to provide consent prior to
     proceedings being commenced for the commitment of a person for trial
     for an offence does not preclude the arrest, charge, remanding or
     releasing on bail of a person in relation to the offences. The arrest,
     charge and remand in custody of a person in such circumstances may
     limit the right to liberty and freedom from arbitrary arrest and
     detention, since the person arrested and detained would have no case
     to answer should the Attorney-General decline to consent to a
     prosecution. The remand in custody of a person awaiting consent of the
     Attorney-General may also limit the right to be tried within a
     reasonable period or to be released.

 28. The remand in custody of an accused may be necessary in the
     circumstances to prevent the communication of information already
     within the knowledge or possession of the accused which has the
     potential to damage Australian interests or otherwise threaten
     Australia's national security. It may also be necessary to prevent
     interference with evidence or flight of the accused. The granting or
     refusal of bail is not arbitrary, as it is determined by a court in
     accordance with the relevant rules and principles of criminal
     procedure. Further, the amendments ensure that nothing in the relevant
     provisions authorising arrest, charge, remand or release prior to the
     Attorney-General's consent will prevent the discharging of the accused
     if proceedings are not continued within a reasonable time. As such, if
     there is a significant delay between a person's arrest, charge, remand
     or release, and the decision of the Attorney-General, a person may be
     discharged and released from detention.

 29. On this basis, the limitation imposed on the right to liberty and
     freedom from arbitrary detention is reasonable, necessary and
     proportionate to ensure the protection of Australia's national
     security.

Right to be tried without undue delay


 30. Article 14(3)(c) of the ICCPR states that in the determination of any
     criminal charge, everyone has the right to be tried without undue
     delay. This right reflects the common law principle that 'justice
     delayed is justice denied'. The right to be tried without undue delay
     may be limited where the delay is not 'undue' and where it is
     reasonable, necessary and proportionate to achieve a legitimate
     objective.

 31. The Bill engages the right to be tried without undue delay by
     requiring consent of the Attorney-General for the prosecution of
     certain offences. The amendments will extend the requirement for the
     Attorney-General's consent to secrecy offences. The amendments limit
     the right to be tried without undue delay to the extent that a person
     may be charged, arrested and remanded in custody or on bail prior to
     and pending the Attorney-General's consent to prosecution for a
     secrecy offence. The arrest, charge and remand in custody or on bail
     of an accused may be necessary in the circumstances to prevent the
     communication of information already within the knowledge or
     possession of the accused which has the potential to damage Australian
     interests or otherwise threaten Australia's national security.

 32. Further, the amendments ensure that nothing in the relevant provisions
     authorising arrest, charge, remand or release prior to the Attorney-
     General's consent will prevent the discharging of the accused if
     proceedings are not continued within a reasonable time. As such, if
     there is a significant delay between a person's arrest, charge, remand
     or release, and the decision of the Attorney-General, a person may be
     discharged.

 33. On this basis, the limitation imposed on the right to be tried without
     undue delay is reasonable, necessary and proportionate to ensure the
     protection of Australia's national security.

Presumption of innocence


 34. Article 14(2) of the ICCPR provides that everyone charged with a
     criminal offence shall have the right to be presumed innocent until
     proven guilty according to law. In General Comment No. 32
     (CCPR/C/GC/32) the Human Rights Committee stated that the presumption
     of innocence imposes on the prosecution the burden of proving the
     charge and guarantees that no guilt can be presumed until the charge
     has been proved beyond reasonable doubt. The presumption of innocence
     may be limited provided the limitation 'is reasonable in the
     circumstances' and necessary and proportionate to achieve a legitimate
     objective.

Strict liability

 35. The Bill limits the presumption of innocence by:

         . imposing strict liability and absolute liability for certain
           offence elements

         . creating defences which, by operation of the general principles
           of criminal responsibility in Chapter 2 of the Criminal Code,
           place an evidential burden on the defendant, and

         . providing for evidentiary certificates which are prime facie
           evidence  as to the existence of certain facts.

 36. The amendments reduce certain limitations on the presumption of
     innocence by:

         . amending the application of strict liability for certain offence
           elements, and

         . removing the evidentiary certificate regime which provided prime
           facie evidence as to the existence of certain facts.

 37. The amendments do not entirely remove strict liability from the
     elements of the offences.  The amendments continue to limit the
     presumption of innocence by imposing strict liability to elements of
     the new definition of 'security classification', which applies to
     espionage and secrecy offences.

 38. For paragraph 90.5(1)(a) of the definition of 'security
     classification', the prosecution will also be required to prove that
     the security classification was applied in accordance with the policy
     framework developed by the Commonwealth for the purpose (or for
     purposes that include the purpose) of identifying information:

         . for a classification of SECRET - that, if disclosed in an
           unauthorised manner, could be expected to cause serious damage
           to the national interest, organisations or individuals

         . for a classification of TOP SECRET - that, if disclosed in an
           unauthorised manner, could be expected to cause exceptionally
           grave damage to the national interest.

 39. The effect of subsection 90.5(1A) is that the prosecution will not
     need to prove that the person who dealt with the information knew or
     was reckless as to this fact.

 40. Strict liability is appropriate for this element of the definition
     because the person's state of mind about the fact that the
     classification was applied under an appropriate Commonwealth policy
     framework for the purpose of identifying such information is not
     relevant to their culpability.  It is sufficient for the prosecution
     to prove that the person was reckless as to the fact that the
     information was classified as SECRET or TOP SECRET.  It is not
     reasonable to expect that a person would be familiar with the methods
     for applying classifications to information, nor the exact meaning of
     the classifications.  There is unlikely to be sufficient evidence to
     allow the prosecution to prove that a person was reckless about this
     level of detail about the policy framework sitting behind the
     application of a classification of SECRET or TOP SECRET.

 41. For paragraph 90.5(1)(b), the prosecution will need to prove that the
     person was reckless as to the fact that the information had a
     classification equivalent to SECRET or TOP SECRET. However, the effect
     of subsection 90.5(1A) is that the prosecution will not need to prove
     that the person who dealt with the information knew or was reckless as
     to the fact that this was prescribed by regulations. Strict liability
     is appropriate for this element because the person's state of mind
     about the fact that the classification was prescribed by regulations
     is not relevant to their culpability. It is sufficient for the
     prosecution to prove that the person was reckless as to the fact that
     the information had a classification equivalent to SECRET or
     TOP SECRET.  It is not reasonable to expect a person to be intimately
     familiar with the method for prescribing equivalent classifications.
     There is unlikely to be sufficient evidence to allow the prosecution
     to prove that a person was reckless about this level of detail about
     the process for prescribing an equivalent classification.

 42. The strict liability measure is proportionate in that it only applies
     to part of the definition and not to the entire element of the
     offence, or the offences as a whole. In this respect, the prosecution
     will still be required to prove, beyond a reasonable doubt, all other
     elements of the offence including the fault elements of intention or
     recklessness.

Reversal of burden of proof

 43. The amendments create a number of new specific defences applying to
     the offences in the Bill. Consistent with section 13.3 of the Criminal
     Code, the defendant bears an evidential burden in relation to a
     defence, which requires the defendant to adduce or point to evidence
     that suggests a reasonable possibility that a particularly matter
     exists or does not exist. Reversing the burden of proof limits Article
     14(2) in that a defendant's failure to discharge the burden may permit
     their conviction despite reasonable doubt as to their guilt.

 44. It is reasonable and necessary for the burden of proof to be placed on
     the defendant where the facts in relation to the defence are
     peculiarly within the knowledge of the defendant and it would be
     significantly more difficult and costly for the prosecution to
     disprove than for the defendant to establish the matter.

 45. For example, for the defence at subsection 122.5(4A), a defendant
     should be readily able to point to evidence that they communicated or
     dealt with the information to report maladministration or unlawful
     conduct in relation to a Commonwealth criminal process or the exercise
     of an AFP function. For the defence at subsection 122.5(5A), a
     defendant should be readily able to point to evidence that they
     communicated or dealt with the information to obtain legal advice on
     whether an offence may be committed by the person's proposed conduct
     in relation to the material. For the defence at subsection 83.3(4A),
     the defendant is best placed to provide evidence that he or she was
     engaged in humanitarian work and it was necessary for this purpose to
     engage in military-style training.

 46. Similarly, for a defence at section 80.3 the defendant is best placed
     to explain their motivations when engaging in the relevant conduct as
     it is peculiarly within their knowledge as to how and why they should
     be considered to be acting in good faith. It would also be unnecessary
     and significantly costly if the prosecution was required to disprove
     these factors for every prosecution of a general secrecy offence. It
     is appropriate to include these factors as a defence and allow the
     defendant to raise the matter if the facts and circumstances are
     appropriate.

 47. Defences, which place an evidential burden on the defendant due to
     section 13.3 of the Criminal Code, are proportionate because the
     prosecution will still be required to prove each element of the
     offence beyond reasonable doubt. Further, if the defendant discharges
     an evidential burden, the prosecution will be required to disprove
     those matters beyond reasonable doubt, consistent with section 13.1 of
     the Criminal Code.

Freedom of expression


 48. Article 19(2) of the ICCPR states that everyone shall have the right
     to freedom of expression; this right shall include freedom to seek,
     receive and impart information and ideas of all kinds, regardless of
     frontiers, either orally, in writing or in print, in the form of art,
     or through any other media of his choice. Any limitation on the right
     to freedom of expression must be reasonable, necessary, and
     proportionate for the pursuit of a legitimate objective and for the
     respect of the rights or reputations of others or for the protection
     of national security, public order, or public health or morals.

 49. The Bill amends the existing espionage offences in the Criminal Code
     and creates new secrecy offences which criminalise dealings with
     information and ideas in certain circumstances, thereby limiting the
     right to freedom of expression. The amendments will reduce this
     limitation by narrowing the scope of espionage and secrecy offences,
     and creating a separate secrecy offence that applies to non-
     Commonwealth officers that is narrower in scope to ensure this
     limitation only applies to the most serious and dangerous conduct. The
     amendments will also strengthen existing defences, in particular the
     defence for media organisations, and provide additional defences to
     allow freedom of expression in respect of important matters such as
     freedom of press, whistle-blowers, and access to the law.

Rights relating to cessation of citizenship


 50. The amendments will insert the offences against proposed Division 92
     of the Criminal Code (foreign interference) within the scope of
     section 35A of the Australian Citizenship Act 2007. This means that
     the Minister may determine in writing that a person ceases to be an
     Australia citizen where the person has been convicted of an offence
     against Division 92 (foreign interference) if other relevant statutory
     criteria are satisfied. These criteria include that the person has
     been sentenced to at least six years' imprisonment or to periods of
     imprisonment that total at least six years, and is a national or
     citizen of a country other than Australia, and the Minister is
     satisfied that it is not in the public interest for the person to
     remain an Australian citizen.

 51. The objective of section 35A of the Australian Citizenship Act 2007 is
     to protect the Australian community and the values it upholds.
     Australian citizenship is a common bond, involving reciprocal rights
     and obligations. Citizens may, through certain conduct incompatible
     with the shared values of the Australian community, demonstrate that
     they have severed that bond and repudiated their allegiance to
     Australia. The purpose of section 35A is to deal with the threat
     caused by those who have acted in a manner contrary to their
     allegiance to Australia by removing them from formal membership of the
     Australian community.  Removing a person's formal membership of the
     Australian community is appropriate to reduce the possibility of a
     person engaging in acts or further acts that harm Australians or
     Australian interests.

 52. The offences currently specified in section 35A are those that prima
     facie indicate that a person has acted contrary to his or her
     allegiance to Australia. For example, offences involving terrorism and
     or other serious threats to Australia and Australia's interests
     (including espionage and treason).

 53. The foreign interference offences in Division 92 criminalise covert,
     deceptive or undisclosed conduct undertaken on behalf of a foreign
     principal that is intended to interfere with Australian democratic
     systems and processes, support the intelligence activities of a
     foreign government or harm Australia's national security. By doing so,
     these offences seek to protect Australia's national security and the
     rights and freedoms of the Australian community at large. Penalties
     range from 10 to 20 years' imprisonment. The foreign interference
     offences, therefore, have a comparable character and seriousness to
     the existing offences covered by section 35A. On this basis, their
     inclusion within the scope of section 35A is rationally connected to
     the objective of the Bill and section 35A in protecting Australians
     and Australia's national security, and will not significantly alter
     the proportionality of section 35A in achieving this objective.

 54. The requirement that the Minister be satisfied that it is not in the
     public interest for the person to remain an Australian citizen acts as
     a safeguards against any unnecessary or disproportionate application
     of section 35A. In determining whether it is not in the public
     interest for the person to remain an Australian citizen the Minister
     is to have regard to the following factors:

         . the severity of the conduct that was the basis of the conviction
           or convictions and the sentence or sentences

         . the degree of threat posed by the person to the Australian
           community;

         . the age of the person

         . if the person is aged under 18-the best interests of the child
           as a primary consideration

         . the person's connection to the other country of which the person
           is a national or citizen and the availability of the rights of
           citizenship of that country to the person

         . Australia's international relations, and

         . any other matters of public interest.

 55. Moreover, a person may seek judicial review of a determination made
     under subsection 35A(1) in the High Court of Australia under section
     75 of the Constitution, or in the Federal Court of Australia under
     section 39B of the Judiciary Act 1903. The availability of judicial
     review of a determination made under section 35A further safeguards
     against unreasonable or unnecessary cessations of citizenship.

 56. An analysis of the impact of section 35A on specific rights and
     freedoms is outlined in the statement of compatibility with human
     rights in the explanatory memorandum to the Australian Citizenship
     Amendment (Allegiance to Australia) Bill 2015. Section 35A has been
     assessed as being compatible with human rights because to the extent
     that it may limit some human rights, those limitations are reasonable,
     necessary and proportionate in light of the provision's objective and
     purpose. In accordance with this analysis, information in relation to
     each of the specific rights engaged by the inclusion of foreign
     interference offences in section 35A is outlined below.

Freedom of movement and choice of residence


 57. Article 12(1) of the ICCPR states that everyone lawfully within the
     territory of a country shall have the right to liberty of movement and
     freedom to choose his residence. Article 12(3) states that this right
     may be limited on bases that are provided by law, and necessary to
     protect national security, public order, or the rights and freedoms of
     others.

 58. The exercise of the power to cease a person's citizenship while that
     person is in Australia will not of its own force alter a person's
     liberty of movement and freedom to choose their residence. However,
     cessation may lead to circumstances in which a person could be held in
     immigration detention, which would impact their freedom of movement
     and residence.

 59. Section 35 of the Migration Act 1958 provides for the automatic grant
     of an ex-citizen visa to a person who is in the migration zone when
     his or her citizenship ceases. The ex-citizen visa is a permanent visa
     allowing the holder to remain in, but not re-enter, Australia.
     However, in the circumstances in which a person's citizenship is
     revoked due to a relevant criminal conviction, the Minister may
     consider immediately cancelling this visa on character or national
     interest grounds, assuming the relevant criteria were met.

 60. As such, a move to cease a person's citizenship cannot be absolutely
     separated from the visa cancellation, and liability for removal from
     Australia, which cessation would make possible.  Cessation should,
     therefore, be viewed as a measure which may lead to the removal of the
     ability to remain lawfully within Australia.

 61. In circumstances where a person has been convicted and sentenced to
     imprisonment for a foreign interference offence such that their
     continued citizenship is, in the Minister's view, not in the public
     interest, such measures will be necessary to protect national
     security, and the rights and freedoms of the Australian community at
     large. On this basis, the limitation on the right to freedom of
     movement and choice of residence is proportionate to ensure protection
     of Australia's national security.

Right to leave a country


 62. Article 12(2) of the ICCPR provides that everyone shall be free to
     leave any country, including his own.

 63. The ability to leave Australia will not be directly affected by the
     cessation provisions, but there are several ways in which the right
     may be indirectly affected. Clearly this is relevant only to people
     whose citizenship ceases while they are in Australia. In some cases
     the cessation may lead to visa cancellation and removal; in these
     circumstances Article 12(2) would not be relevant.

 64. If the person is allowed to remain in Australia it may be the case
     that their ability to leave the country is restricted under other
     legislation. The most obvious current example is preventing travel
     where the person is likely to join an extremist movement overseas. The
     UN Human Rights Committee has noted that 'since international travel
     usually requires appropriate documents, in particular a passport, the
     right to leave a country must include the right to obtain the
     necessary travel documents.' The inability to hold an Australian
     passport as a result of cessation of citizenship could potentially
     prevent travel outside Australia, but if necessary in the
     circumstances either a travel document from the person's other country
     of nationality, a temporary document issued by Australia, or some
     other facility could potentially be used.

Right to enter one's own country


 65. Article 12(4) of the ICCPR provides that no one shall be arbitrarily
     deprived of the right to enter his own country.

 66. While a person whose citizenship has ceased would no longer be a
     citizen under Australian law, under international law Australia may
     still be considered their 'own country' for the purposes of Article
     12(4). The phrase 'his own country' has been interpreted broadly by
     the UN Human Rights Committee, and the drafting history of the
     provision supports the interpretation that 'own country' goes beyond
     mere nationality. However, it is the Government's view that, where a
     person has objectively demonstrated through their conduct that they
     have repudiated their allegiance to Australia, which under the
     cessation provisions will necessarily be in circumstances where they
     hold another citizenship, any ties they may have to Australia for the
     purposes of Article 12(4) have been voluntarily severed. Regardless of
     prior connections, the person should not be entitled to gain any
     advantage from a relationship they are responsible for breaking.

 67. Should circumstances arise where a person whose citizenship has ceased
     and who properly considers Australia to be 'his [or her] own country',
     and where the person is outside Australia when the Minister determines
     that they cease to be an Australian citizen, depriving that person of
     the right to enter Australia would not be arbitrary. This is because
     the deprivation of the right to enter Australian would be based on a
     genuine threat to Australia's security posed by a person who has
     objectively demonstrated repudiation of their allegiance to Australia.
     The very serious consequence of ceasing citizenship (thereby
     preventing return to Australia) is, in the Government's view,
     proportionate to the legitimate goal of ensuring the security of the
     Australian community.

 68. A person whose citizenship ceases while they are outside Australia may
     apply for a visa for entry to Australia, though as noted above, in the
     circumstances it is likely they would fail the character test.

Expulsion of aliens


 69. Article 13 of the ICCPR provides that:

An alien lawfully in the territory of a State Party to the present Covenant
may be expelled therefrom only in pursuance of a decision reached in
accordance with law and shall, except where compelling reasons of national
security otherwise require, be allowed to submit the reasons against his
expulsion and to have his case reviewed by, and be represented for the
purpose before, the competent authority or a person or persons especially
designated by the competent authority.


 70. While technically the power to cease a person's citizenship would not
     result directly in the expulsion of a person from Australia, as
     outlined above, expulsion (most likely removal from Australia under
     section 198 of the Migration Act) is the most likely outcome of the
     process which begins with cessation where a person is in Australia at
     the time.

 71. Any removal would come only after the person's lawful status in
     Australia (i.e. any visa they held after the cessation of their
     citizenship) was cancelled. In that sense they would not be able to
     claim the benefit of Article 13 (as they would not be lawfully in
     Australia's territory), but that is a distinction which avoids the
     reality that these are two steps in a closely linked process.

 72. However, decisions leading to removal from Australia following
     cessation of citizenship would all be conducted in line with the
     relevant provisions in the Migration Act, so removal itself would be
     in pursuance of a decision reached in accordance with law. Further,
     those decisions would most likely be subject to review by a tribunal
     or court.

Equality before the courts and tribunals


 73. Article 14(1) of the ICCPR provides that:

All persons shall be equal before the courts and tribunals. In the
determination of any criminal charge against him, or of his rights and
obligations in a suit at law, everyone shall be entitled to a fair and
public hearing by a competent, independent and impartial tribunal
established by law.


 74. The right to a fair trial and fair hearing are not limited by section
     35A. In a judicial review action, the court would consider whether or
     not the power given by the Australian Citizenship Act has been
     exercised according to law. A person also has a right to seek
     declaratory relief as to whether the conditions giving rise to the
     cessation have been met.

 75. It is also the case that, as reflected in the note to section 35A(1),
     an affected person may seek judicial review of a determination made
     under subsection 35A(1). Further, a person's citizenship is taken
     never to have ceased if the Minister revokes a determination made
     where the conviction that led to the determination is overturned or
     quashed.

Equality before the law


 76. Article 26 of the ICCPR states that:

All persons are equal before the law and are entitled without any
discrimination to the equal protection of the law. In this respect, the law
shall prohibit any discrimination and guarantee to all persons equal and
effective protection against discrimination on any ground such as race,
colour, sex, language, religion, political or other opinion, national or
social origin, property, birth or other status.


 77. This a stand-alone right which will be breached if a person does not
     enjoy equality before the law or equal protection of the law with
     others, on the basis of discrimination on a prohibited ground.

 78. The proposed application of cessation provisions to the foreign
     interference offences provided for Division 92 does not discriminate
     on a prohibited ground but rather operates on the basis of certain
     conduct or a conviction or convictions of a particular kind i.e. a
     conviction for a foreign interference offence. To the extent that the
     cessation powers in the Australian Citizenship Act differentiate on
     the basis that they apply only to those people who hold foreign
     citizenship or nationality in addition to their Australian
     citizenship, this is considered reasonable and proportionate and
     consistent with Australia's obligations under the statelessness
     conventions.

 79. As observed by the Human Rights Committee in General Comment no. 18,
     not every differentiation of treatment will constitute discrimination,
     if the criteria for such differentiation are reasonable and objective
     and if the aim is to achieve a purpose which is legitimate under the
     ICCPR.

 80. Differentiation on the basis of dual nationality is the consequence of
     international obligations relating to statelessness, and as such
     represents a measure of extra protection for those without dual
     nationality, rather than a means of positively selecting those who may
     be subject to the new cessation power.

 81. The differentiation at the heart of the cessation provisions relevant
     to the amendment is that the person has been convicted of a crime of a
     particular character, which demonstrates repudiation of allegiance to
     Australia. These provisions operate only in the most serious of
     circumstances, and the consequence of their operation - the cessation
     of a person's citizenship - is proportionate to the seriousness of the
     conduct.

The best interests of the child


 82. Article 3 of the CRC provides that:

In all actions concerning children, whether undertaken by public or private
social welfare institutions, courts of law, administrative authorities or
legislative bodies, the best interests of the child shall be a primary
consideration.


 83. This right would be engaged by the cessation power in section 35A of
     the Australian Citizenship Act, which applies to all persons
     regardless of age.

 84. The cessation power would only be enlivened in relation to a child
     directly when the child meets the crime or conduct thresholds. Given
     the type of conduct captured by the foreign interference offences, it
     is unlikely that a child would commit such an offence.

 85. The cessation power in section 35A is discretionary and allows the
     Minister to take into account all the circumstances of each individual
     case. The Minister must expressly have regard to the best interests of
     the child as a primary consideration when reaching satisfaction on
     whether it is in the public interest for the child to remain an
     Australian citizen. The Minister also has the power to revoke a
     determination made under section 35A if a conviction (in relation to a
     child or otherwise) is later overturned or quashed.

 86. This right is also engaged where a parent's citizenship ceases. In
     circumstances where the parent is in Australia at the time of
     cessation, decisions which might flow from that cessation would all be
     lawfully based in the Migration Act. The best interests of the child
     would be a primary consideration in all of those decisions, though may
     be outweighed by countervailing considerations such as the integrity
     of the citizenship programme and national security risks.

Rights of children to nationality, identity, family etc.


 87. Article 23(1) of the ICCPR provides that 'the family is the natural
     and fundamental group unit of society and is entitled to protection by
     society and the State.' Article 24 of the ICCPR further provides that
     every child shall have the right to such measures of protection as are
     required by his status as a minor, on the part of his family, society
     and the State and the right to acquire a nationality. Article 7 of the
     CRC also provides that the child shall have the right to acquire a
     nationality and, as far as possible, the right to know and be cared
     for by his or her parents.

 88. The cessation power would only be enlivened in relation to a child
     directly when the child meets the crime or conduct thresholds. Given
     the type of conduct captured by the foreign interference offences, it
     is unlikely that a child would commit such an offence.

 89. The right in Articles 7 and 24 to acquire a nationality is not the
     same as a right to retain a nationality. Cessation of a child's
     citizenship must of necessity occur after a child has acquired
     citizenship, however section 35A does not operate if a person would be
     rendered stateless by the cessation. That is, the Minister may only
     make a determination under section 35A if the person is also a citizen
     of a country other than Australia at the time of the determination.
     Consequently the right to acquire a nationality is not limited by
     section 35A.

 90. The power in section 35A is also discretionary such that it allows the
     Minister to take into account all the circumstances of each individual
     case. In considering the possible cessation of citizenship in respect
     of a child, the Minister is required to consider the child's best
     interests as a primary consideration.

 91. These rights are also engaged where a parent's citizenship ceases,
     which may affect the family unit. In circumstances where the parent is
     in Australia at the time of cessation, decisions which might flow from
     that cessation would all be lawfully based in the Migration Act. The
     best interests of the child would be a primary consideration in all of
     those decisions, though may be outweighed by countervailing
     considerations such as the integrity of the citizenship programme and
     national security risks.

Conclusion

 92. The amendments are compatible with human rights because they reduce
     the limitations imposed by the Bill on a number of human rights
     including the right to freedom of expression, right to be presumed
     innocent and right to liberty. To the extent that the amendments may
     limit human rights, those limitations are reasonable, necessary and
     proportionate to the legitimate objective of the Bill, that is
     primarily to ensure the protection of Australia's national security.

NOTES ON AMENDMENTS

Criminal Code Act 1995


Amendment 1: Clause 2, page 3 (at the end of the table)


 93. This amendment will insert a new commencement provision for Schedule 6
     of the Bill (which will be inserted by Amendment 154) to commence the
     day after the Act receives Royal Assent.

 94. Schedule 6 amends the Inspector-General of Intelligence and Security
     Act 1986 by introducing new immunities for persons who voluntarily
     provides information or documents to the IGIS for the disclose
     information to the IGIS for the purpose of:

         . making a complaint under Division 2 of Part II of the IGIS Act

         . an inspection conducted under section 9A of the IGIS Act

         . the IGIS conducting a preliminary inquiry into a complaint under
           section 14 of the IGIS Act, or

         . the IGIS conducting an inquiry under Division 3 of Part II.

Amendment 2: Schedule 1, page 4 (after line 13)


 95. This amendment will insert a new section 80.1AAA in Subdivision A of
     Division 80 of the Criminal Code to clarify that nothing in Division
     80 affects the interpretation of key terms in the Australian Security
     Intelligence Organisation Act 1979 unless the ASIO Act expressly
     provides otherwise.  Division 80, as amended by Schedule 1 of the
     Bill, contains offences relating to treason, urging violence,
     advocating terrorism and advocating genocide.

 96. This amendment implements Recommendation 5 of the PJCIS report.

Amendment 3: Schedule 1, item 5, page 6 (line 15)


 97. This amendment will amend subsection 80.3(1) of the Criminal Code to
     insert a reference to new section 83.1 (advocating mutiny) and
     section 83.4 (interference with political rights and liberties'.

 98. The effect of this amendment will be to apply the existing defence for
     acts done in good faith (in section 80.3 of the Criminal Code) to the
     new offences of advocating mutiny in section 83.1 and interference
     with political rights and duties in section 83.4.

 99. This amendment strikes a balance between freedom of expression and
     unwanted encouragement of mutiny and interference with political
     rights and duties.  This amendment implements Recommendation 47 of the
     PJCIS report.

Amendment 4: Schedule 1, item 8, page 6 (after line 28)


100. This amendment will insert a new heading to create Subdivision A-
     Preliminary in Division 82 (and Amendment 7 will insert a new heading
     to create Subdivision B-Offences).

101. This is a technical matter, to ensure the sabotage offences contained
     in Division 82 are appropriately structured within the Criminal Code.

102. Subdivision A will contain preliminary provisions, namely definitions
     and a provision to clarify that nothing in Division 82 affects the
     interpretation of key terms in the Australian Security Intelligence
     Organisation Act 1979, unless that Act expressly provides otherwise.
     Subdivision B will contain the sabotage offence provisions.

Amendment 5: Schedule 1, item 8, page 7 (before line 1)


103. This amendment will insert a definition of advantage in section 82.1
     for the purpose of the sabotage offences in Division 82.  The
     definition will clarify that conduct will not advantage the national
     security of a foreign country if the conduct will advantage
     Australia's national security to an equivalent extent.

104. The PJCIS report concluded (at paragraphs 3.74) that 'further
     legislative clarity is required to reduce the likelihood of non-
     malicious conduct falling under the term 'advantage the national
     security of a foreign country' for the purposes of the proposed
     sabotage and espionage offences.'  The PJCIS report also stated (at
     paragraph 3.75) that 'it would be inappropriate to criminalise
     activity that is undertaken for the mutual benefit of both Australia
     and a foreign country.'

105. The new definition of advantage is intended to ensure that a person
     cannot commit a sabotage offence on the basis of advantaging a foreign
     country's national security if that person intended that, or was
     reckless as to whether, his or her conduct would also equally
     advantage Australia's national security.

106. The qualification that the advantage be to an equivalent extent is
     intended to ensure that a person cannot evade liability because they
     intended for their conduct to have some advantage to Australia's
     national security when they also intended for their conduct to provide
     a greater degree of advantage to the foreign country's national
     security.

107. The requirement for the mutual advantage to be of an equivalent extent
     will allow the prosecution to argue, in appropriate circumstances,
     that despite there being some intention to advantage Australia's
     national security, the intention to advantage the foreign country's
     national security was to a greater extent.

108. This amendment implements Recommendation 3 of the PJCIS report.

Amendment 6: Schedule 1, item 8, page 7 (after line 17)


109. This amendment will insert a definition of prejudice in section 82.1
     (for the purpose of the sabotage offences in Division 82) to clarify
     that embarrassment alone is not sufficient to prejudice Australia's
     national security.

110. The PJCIS report stated (at paragraph 3.72) that:

      The Committee recognises that, in some circumstances, embarrassment to
      the Australian Government could result in harm to Australia's
      political, military or economic relationships. However, the Committee
      considers that greater clarity is required to ensure that prejudice
      cannot consist of embarrassment to the Australian Government or other
      Australian entity alone, but must also include a degree of damage or
      harm.

111. This definition will ensure that a person cannot be prosecuted for a
     sabotage offence in Division 82 if that person intended that, or was
     reckless as to whether, his or her conduct would cause embarrassment
     alone.

112. This definition reflects case law regarding the meaning of 'prejudice
     to national security', including Commonwealth v Fairfax (1980) 147 CLR
     39 at 52, in which a single judge of the High Court (Mason J)
     indicated that mere embarrassment was not sufficient to constitute
     prejudice to national security.

113. This amendment implements Recommendation 2 of the PJCIS report.

Amendment 7: Schedule 1, item 8, page 8 (after line 25)


114. This amendment will insert a new section 82.2A to clarify that nothing
     in Division 82 (Sabotage) affects the interpretation of key terms in
     the Australian Security Intelligence Organisation Act 1979, unless
     that Act expressly provides otherwise.  This amendment implements
     Recommendation 4 of the PJCIS report.

115. This amendment will also insert a new heading to create Subdivision B-
     Offences in Division 82 (Amendment 4 will insert a new heading to
     create Subdivision A-Preliminary). This is a technical matter, to
     ensure the sabotage offences are appropriately structured within the
     Criminal Code.

Amendment 8: Schedule 1, item 8, page 11 (lines 17 to 24)


116. This amendment will amend section 82.7 (offence of introducing
     vulnerability with intention as to national security) to narrow the
     scope of the offence.

117. Prior to this amendment, paragraph 82.7(d) applied where a person
     intended to harm or prejudice Australia's economic interests, disrupt
     the functions of Government, or damage public infrastructure. This
     amendment removes paragraph 82.7(d) and replaces it with a new
     paragraph that applies where the person engages in the conduct with
     the intention that prejudice to Australia's national security will
     occur (whether at the time or at a future time).

118. The reference to 'at the time or at a future time' reflects that the
     offence at section 82.7 applies where a person engages in conduct that
     introduces a vulnerability into public infrastructure.  The person who
     introduces the vulnerability may not intend for it to immediately be
     used to prejudice Australia's national security, but may intend that
     the vulnerability will be exploited at a later time to prejudice
     Australia's national security.  The person engaging in the conduct
     with the intention that prejudice Australia's national security will
     occur at a future time would be sufficient for the purpose of
     new paragraph 82.7(d).

119. Intention is the fault element for new paragraph 82.7(d).  Under
     subsection 5.2(1) of the Criminal Code, a person has intention with
     respect to conduct if he or she means to engage in that conduct.

120. This amendment implements Recommendation 44 of the PJCIS report.

Amendment 9: Schedule 1, item 8, page 12 (lines 6 to 13)


121. This amendment will amend section 82.8 (offence of introducing
     vulnerability reckless as to national security) to narrow the scope of
     the offence.

122. Prior to this amendment, paragraph 82.8(d) applied where a person
     engaged in the conduct reckless as to whether it would harm or
     prejudice Australia's economic interests, disrupt the functions of
     Government, or damage public infrastructure. This amendment removes
     paragraph 82.8(d) and replaces it with a new paragraph that applies
     only where the person engages in the conduct reckless as to whether
     prejudice to Australia's national security will occur (whether at the
     time or at a future time).

123. The reference to 'at the time or at a future time' reflects that the
     offence at section 82.8 applies where a person engages in conduct that
     introduces a vulnerability into public infrastructure.  The person who
     introduces the vulnerability may not be reckless as to whether it is
     immediately used to prejudice Australia's national security, but may
     be reckless as to whether the vulnerability will be able to be
     exploited at a later time to prejudice Australia's national security.
     The person engaging in the conduct reckless as to whether prejudice to
     Australia's national security will occur at a future time would be
     sufficient for the purpose of new paragraph 82.7(d).

124. Recklessness is the fault element for new paragraph 82.8(d).
     Section 5.4 of the Criminal Code provides that a person is reckless
     with respect to:

         . a circumstance if he or she is aware of a substantial risk that
           the circumstance exists or will exist and, having regard to the
           circumstances known to him or her, it is unjustifiable to take
           that risk, and

         . a result if he or she is aware of a substantial risk that the
           result will occur and, having regard to the circumstances known
           to him or her, it is unjustifiable to take the risk.

125. This amendment implements Recommendation 44 of the PJCIS report.

Amendment 10: Schedule 1, item 8, page 13 (lines 1 to 9)


126. This amendment will replace the defence at section 82.10 with a
     broader defence applying to both public officials and a person who is
     the owner or operator of public infrastructure.

127. Current section 82.10 creates a defence for a person accessing or
     using a computer or other electronic system in his or her capacity as
     a public official. This amendment will extend the defence beyond this
     conduct to cover a broader range of activities that public officials
     may engage in regarding public infrastructure. The defence will also
     be amended to extend to a person acting on behalf of, or with the
     consent of, an owner or operator of the public infrastructure to
     capture persons contracted by the private owner or operator to perform
     functions.

128. The defence at subsection 82.10(1) will apply where:

         . the person is, at the time of the offence, a public official (as
           defined in the Dictionary to the Criminal Code)

         . the person engaged in the conduct in good faith in the course of
           performing duties as a public official, and

         . the conduct is reasonable in the circumstances for the purpose
           of performing those duties

129. For example, staff of a Commonwealth department may be tasked with
     conducting a penetration test of the department's electronic systems
     for vulnerabilities.

130. This amendment will also insert a Note under subsection 82.10(1) to
     clarify that the defendant will bear an evidentiary burden in relation
     to this defence. The Guide to Framing Commonwealth Offences provides
     (at paragraph 4.3.1) that it is appropriate for a matter to be
     included in an offence-specific defence where it is peculiarly within
     the knowledge of the defendant and it would be significantly more
     difficult and costly for the prosecution to disprove than for the
     defendant to establish the matter.  The defence at subsection 82.10(1)
     satisfies both of these criteria.  A defendant is likely to be in the
     best position to easily point to evidence that he or she was a public
     official engaging in conduct in good faith in the course of their
     duties.  In addition, this is expected to be a rare situation and is
     unlikely to be a feature of every case that is investigated and
     referred for prosecution.  It would be unnecessary and significantly
     costly if the prosecution was required to disprove this for every
     prosecution of a sabotage offence. It is appropriate to include it as
     a defence and allow the defendant to raise the matter if the facts and
     circumstances are appropriate.

131. Consistent with section 13.3 of the Criminal Code, the defendant bears
     the burden of adducing or pointing to evidence that suggests a
     reasonable possibility that the matter exists or does not exist. If
     the defendant discharges an evidential burden, the prosecution must
     disprove those matters beyond reasonable doubt, consistent with
     section 13.1 of the Criminal Code.

132. The defence at subsection 82.10(2) will apply where:

         . the person is, at the time of the offence:

               o an owner or operator of the public infrastructure, or

               o acting on behalf of, or with the consent of, an owner or
                 operator of the public infrastructure

         . the person engaged in the conduct in good faith

         . the conduct is within the lawful authority of the owner or
           operator, and

         . the conduct is reasonable in the circumstances for the purpose
           of performing those duties

133. For example, the operator of an essential telecommunications network
     that is relied upon by intelligence agencies may shut down the network
     and this might prejudice national security because it interferes with
     the activities of the intelligence agency. Unless it was reasonable in
     the circumstances to shut down the network, for example in order to
     conduct essential maintenance, it should not be covered by the
     defence.

134. This amendment will also insert a Note under subsection 82.10(2) to
     clarify that the defendant will bear an evidentiary burden in relation
     to this defence. The Guide to Framing Commonwealth Offences provides
     (at paragraph 4.3.1) that it is appropriate for a matter to be
     included in an offence-specific defence where it is peculiarly within
     the knowledge of the defendant and it would be significantly more
     difficult and costly for the prosecution to disprove than for the
     defendant to establish the matter.  The defence at subsection 82.10(2)
     satisfies both of these criteria.  A defendant is likely to be in the
     best position to easily point to evidence that he or she was an owner
     or operator (or acting on behalf of an owner or operator) engaging in
     conduct within their lawful authority in good faith.  In addition,
     this is expected to be a rare situation and is unlikely to be a
     feature of every case that is investigated and referred for
     prosecution.  It would be unnecessary and significantly costly if the
     prosecution was required to disprove this for every prosecution of a
     sabotage offence. It is appropriate to include it as a defence and
     allow the defendant to raise the matter if the facts and circumstances
     are appropriate.

135. Consistent with section 13.3 of the Criminal Code, the defendant bears
     the burden of adducing or pointing to evidence that suggests a
     reasonable possibility that the matter exists or does not exist. If
     the defendant discharges an evidential burden, the prosecution must
     disprove those matters beyond reasonable doubt, consistent with
     section 13.1 of the Criminal Code.

136. This amendment implements Recommendation 45 of the PJCIS report.

Amendment 11: Schedule 1, item 8, page 15 (before line 2)


137. This amendment will insert a new section 83.1A to clarify that nothing
     in Division 83 (Other threats to security) affects the interpretation
     of key terms in the Australian Security Intelligence Organisation Act
     1979, unless that Act expressly provides otherwise.

138. This amendment implements Recommendation 4 of the PJCIS report.

Amendment 12: Schedule 1, item 8, page 15 (before line 19)


139. This amendment will insert a Note under subsection 83.1(1) to clarify
     that the existing defence in section 80.3 of the Criminal Code for
     acts done in good faith is also available in relation to the
     advocating mutiny offence at section 83.1.  This provides clarity for
     the reader.

140. Amendment 3 amends section 80.3 so that it also applies to the
     advocating mutiny offence at section 83.1.

Amendment 13: Schedule 1, item 8, page 15 (after line 19)


141. This amendment will insert new subsection 83.1(1A) to define advocates
     for the purpose of the advocating mutiny offence in
     subsection 83.1(1).

142. Paragraph 83.1(1A)(a) will provide that a person advocates mutiny if
     the person counsels, promotes, encourages or urges mutiny.  This
     definition is consistent with the existing definitions of advocates
     for the purpose of the advocating terrorism offence in
     subsection 80.2C(3) and the advocating genocide offence in subsection
     80.2D(3) of the Criminal Code.

143. Paragraph 83.1(1A)(b) will clarify that a reference to advocating
     mutiny includes advocating mutiny even if the mutiny does not occur,
     advocating a single mutiny and advocating multiple acts of mutiny.
     This amendment is consistent with subsections 80.2C(4) and 80.2D(4) of
     the Criminal Code, which relate to the offences of advocating
     terrorism and advocating genocide, respectively.

144. This amendment implements Recommendation 46 of the PJCIS report

Amendment 14: Schedule 1, item 8, page 16 (line 15)


145. This amendment will insert 'etc.' at the end of the heading to section
     83.3 'Military-style training involving foreign government principal'.
     This amendment is consequential to Amendment 15, which will amend
     section 83.3 to refer to military-style training involving a foreign
     government principal or a foreign political organisation.

Amendments 15 and 16: Schedule 1, item 8, page 16 (lines 24, 26 and 27)


146. These amendments will amend section 83.3 'Military-style training
     involving foreign government principal' to add a reference to foreign
     political organisation into paragraph 83.3(1)(c).

147. This amendment is being made because Amendment 30 will remove foreign
     political organisation from the definition of foreign government
     principal. Therefore, paragraph 83.3(1)(c) is being amended to insert
     a reference to foreign political organisation.

148. Foreign political organisation is defined in section 90.1 of the
     Criminal Code, as amended by Item 10 of Schedule 1 of the Bill and
     Amendment 24 of these amendments, to mean a foreign political party,
     an organisation that exists primarily to pursue political objectives,
     and a foreign organisation that exists to pursue militant, extremist
     or revolutionary objectives.

149. Following this amendments, paragraph 83.3(1)(c) will require the
     prosecution to prove that either of the following circumstances exist:

         . the training is provided on behalf of a foreign government
           principal or foreign political organisation, or

         . the training is directed, funded or supervised by a foreign
           government principal, foreign political organisation, or a
           person acting on behalf of a foreign government principal or
           foreign political organisation.

150. Recklessness is the fault element for paragraph 83.3(1)(c).  Section
     5.4 of the Criminal Code provides that a person is reckless with
     respect to:

         . a circumstance if he or she is aware of a substantial risk that
           the circumstance exists or will exist and, having regard to the
           circumstances known to him or her, it is unjustifiable to take
           that risk, and

         . a result if he or she is aware of a substantial risk that the
           result will occur and, having regard to the circumstances known
           to him or her, it is unjustifiable to take the risk.

151. It is intended that the offence at section 83.3 continue to apply
     where the training is provided on behalf of, or directed, funded or
     supervised by, a foreign political organisation.

Amendment 17: Schedule 1, item 8, page 17 (after line 27)


152. This amendment will insert a new defence (at subsection 83.3(4A)) for
     an offence against subsection 83.3(1) ('Military-style training
     involving foreign principal etc') where the relevant conduct is solely
     or primarily for the purpose of one of the following:

         . providing aid of a humanitarian nature

         .  performing an official duty for the United Nations (UN) or one
           of its agencies or the International Red Cross Red Crescent
           Movement (IRCM).

153. It is appropriate that individuals undertaking official duties for the
     UN or the IRCM have confidence that, in fulfilling their official
     mandate, they are not contravening the military-style training
     offence.

154. The offence at section 83.3 requires proof that the training involved
     using arms or practising military exercises, movements or evolutions
     and that the person was reckless as to this.  The UN and IRCM may
     participate in training that involves military exercises by providing
     advice or training about international humanitarian law..  This would
     be considered to fall within the defence.  Where the training being
     delivered is training in the actual use of arms, this would not be
     'aid of a humanitarian nature', and would not be covered by paragraph
     83.3(4A)(a) of the defence.

155. This amendment will also insert a Note under subsection 83.3(4A) to
     clarify that the defendant will bear an evidentiary burden in relation
     to this defence. The Guide to Framing Commonwealth Offences provides
     (at paragraph 4.3.1) that it is appropriate for a matter to be
     included in an offence-specific defence where it is peculiarly within
     the knowledge of the defendant and it would be significantly more
     difficult and costly for the prosecution to disprove than for the
     defendant to establish the matter.  The defence at subsection 83.3(4A)
     satisfies both of these criteria.  A defendant is likely to be in the
     best position to easily point to evidence that he or she was providing
     aid of a humanitarian nature or performing an official duty for the UN
     or IRCM.  In addition, this is expected to be a rare situation and is
     unlikely to be a feature of every case that is investigated and
     referred for prosecution.  It would be unnecessary and significantly
     costly if the prosecution was required to disprove this for every
     prosecution of a military-style training offence. It is appropriate to
     include it as a defence and allow the defendant to raise the matter if
     the facts and circumstances are appropriate.

156. Consistent with section 13.3 of the Criminal Code, the defendant bears
     the burden of adducing or pointing to evidence that suggests a
     reasonable possibility that the matter exists or does not exist. If
     the defendant discharges an evidential burden, the prosecution must
     disprove those matters beyond reasonable doubt, consistent with
     section 13.1 of the Criminal Code.

157. This amendment implements Recommendation 49 of the PJCIS report.

Amendment 18: Schedule 1, item 8, page 18 (line 5)


158. This amendment is a minor technical amendment to address a
     typographical error in paragraph 83.4(1)(c), which refers to 'any
     another person'. This amendment will change this reference to 'any
     other person'.

159. This amendment implements Recommendation 60 of the PJCIS report to
     make minor changes that ensure clarity.

Amendment 19: Schedule 1, item 8, page 18 (line 11)


160. This amendment will change the maximum penalty for the offence of
     'interference with political rights and duties' at section 83.4 from
     10 years imprisonment to three years imprisonment. Section 83.4
     replaces the existing offence of 'interference with political liberty'
     at section 28 of the Crimes Act, which attracted a maximum penalty of
     three years imprisonment. This penalty will be retained for the
     updated version of this offence at section 83.4.

161. This amendment implements Recommendation 50 of the PJCIS report.

Amendment 20: Schedule 1, item 8, page 18 (lines 28 and 29)


162. This amendment will insert a reference to subsection 83.3(4A) in
     paragraph 83.5(4)(a). The effect of this amendment will be to require
     the Attorney-General, in deciding whether to consent to prosecution
     for an offence against section 83.3 (military-style training involving
     foreign government principal etc.), to consider whether the conduct is
     covered by the defence in subsection 83.3(4A).

163. Subsection 83.3(4A) provides a defence where the relevant conduct is
     solely or primarily for the purpose of providing humanitarian aid
     and/or performing an official duty for the United Nations or one of
     its agencies or the International Committee of the Red Cross.

Amendment 21: Schedule 1, item 8, page 18 (line 30)


164. This amendment will update new section 83.5 to require the Attorney-
     General to consider whether the relevant conduct might be authorised
     by the good faith defence in section 80.3 of the Criminal Code before
     providing his or her consent to the institution of proceedings for an
     advocating mutiny offence. This amendment is consequential to
     Amendment 3, which makes the existing defence in section 80.3 of the
     Criminal Code for acts done in good faith available in relation to the
     advocating mutiny offence at section 83.1.

165. This amendment implements Recommendation 48 of the PJCIS report.

Amendment 22: Schedule 1, item 10, page 19 (before line 4)


166. This amendment will insert definitions of advantage and concerns in
     subsection 90.1(1) for the purposes of Part 5.2-Espionage and related
     offences.

167. This amendment will insert a definition of advantage in subsection
     90.1(1) for the purpose of the espionage offences in Part 5.2.  The
     definition will clarify that conduct will not advantage the national
     security of a foreign country if the conduct will advantage
     Australia's national security to an equivalent extent.

168. The PJCIS report concluded (at paragraphs 3.74) that 'further
     legislative clarity is required to reduce the likelihood of non-
     malicious conduct falling under the term 'advantage the national
     security of a foreign country' for the purposes of the proposed
     sabotage and espionage offences.'  The PJCIS report also stated (at
     paragraph 3.75) that 'it would be inappropriate to criminalise
     activity that is undertaken for the mutual benefit of both Australia
     and a foreign country.'

169. The new definition of advantage is intended to ensure that a person
     cannot commit a espionage offence on the basis of advantaging a
     foreign country's national security if that person intended that, or
     was reckless as to whether, his or her conduct would also equally
     advantage Australia's national security.

170. The qualification that the advantage be to an equivalent extent is
     intended to ensure that a person cannot evade liability because they
     intended for their conduct to have some advantage to Australia's
     national security when they also intended for their conduct to provide
     a greater degree of advantage to the foreign country's national
     security. This may be the case where a person acts as a double agent
     and provides information to an Australian security agency but also
     provides information to a foreign intelligence agency with the
     intention of advantaging the foreign country's national security to a
     greater extent than Australia. Another example is where a person is
     persuaded to provide information to a foreign intelligence agency on
     the assurances that they are also benefitting Australia's national
     security.

171. The requirement for the mutual advantage to be of an equivalent extent
     will allow the prosecution to argue, in appropriate circumstances,
     that despite there being some intention to advantage Australia's
     national security, the intention to advantage the foreign country's
     national security was to a greater extent.

172. The definition of concerns provides that information or an article
     concerns Australia's national security if the information or article
     relates to, or is connected with, or is of interest or importance to,
     or affects, Australia's national security.  This is consistent with
     the definition of the term in the Macquarie Dictionary

173. This amendment implements Recommendation 3 of the PJCIS report (in
     relation to defining advantage) and Recommendation 35 (regarding
     defining concerns).

Amendment 23: Schedule 1, item 10, page 19 (line 16)


174. This amendment will update the Note under the definition of deal in
     subsection 90.1(1) to direct the reader to the new definition of make
     available in subsection 90.1(1) (to be inserted by Amendment 25). The
     existing wording of the Note only directs the reader to subsection
     90.1(2).

Amendment 24: Schedule 1, item 10, page 19 (lines 19 and 20)


175. This amendment will amend the definition of foreign political
     organisation to include:

         . a foreign political party

         . a foreign organisation that exists primarily to pursue political
           objectives, and

         . a foreign organisation that exists to pursue militant, extremist
           or revolutionary objectives.

176. This replaces the existing definition of foreign political
     organisation, which was defined as meaning a foreign political party
     or a foreign political organisation. The new definition is more
     comprehensive but it is not intended to be exhaustive.

177. The term is intended to capture organisations that have a political
     focus but are not 'political parties' per se, including (but not
     limited to) militant, extremist and revolutionary groups.

178. Espionage, foreign interference and sabotage can be conducted by
     foreign political entities that are not parties or governments, and
     the precise nature and format of these entities may change over time.
     It is therefore necessary to maintain a broad formulation of 'foreign
     political organisation' that allows for such activities to be
     categorised as espionage, foreign interference or sabotage where
     necessary.

179. A narrow definition of foreign political organisation would prevent
     these activities from being rightly considered as espionage or related
     activity.

180. This amendment implements Recommendation 6 of the PJCIS report.

Amendment 25: Schedule 1, item 12, page 19 (before line 27)


181. This amendment will insert a definition of make available in
     subsection 90.1(1) (which applies to Part 5.2-Espionage and related
     offences).

182. The definition provides that make available information or an article
     includes:

         . placing it somewhere it can be accessed by another person

         . giving it to an intermediary to give to the intended recipient,
           and

         . describing how to obtain access, or methods that are likely to
           facilitate access, to it (for example, setting out the name of a
           website, an IP address, a URL, a password, or the name of a
           newsgroup).

183. A person can make available information using the internet or an
     online vector.

184. The definition is intended to cover the passing on of information or
     articles other than by disclosing or publishing them. This is intended
     to cover situations where arrangements are made between two
     individuals to pass information using a pre-arranged location, without
     the individuals needing to meet. For example, Person A may leave a
     classified document in a particular letterbox and Person B (who is
     acting on behalf of a foreign principal) will later come and collect
     it. Another example would be where Person A gives a document to
     Person C, who will then pass it on to Person B (who is acting on
     behalf of a foreign principal). Although it is arguable that Person A
     has 'communicated' the document in these situations, it is intended
     that the term 'make available' will provide clarity in situations
     where intermediaries are used.

185. This amendment implements Recommendation 36 of the PJCIS report.

Amendment 26: Schedule 1, item 12, page 19 (after line 27)


186. This amendment will insert a definition of prejudice in section 90.1
     (for the purpose of the espionage and foreign interference offences in
     Part 5.2) to clarify that embarrassment alone is not sufficient to
     prejudice Australia's national security.

187. The PJCIS report stated (at paragraph 3.72) that:

      The Committee recognises that, in some circumstances, embarrassment to
      the Australian Government could result in harm to Australia's
      political, military or economic relationships. However, the Committee
      considers that greater clarity is required to ensure that prejudice
      cannot consist of embarrassment to the Australian Government or other
      Australian entity alone, but must also include a degree of damage or
      harm.

188. This definition will ensure that a person cannot be prosecuted for an
     espionage or foreign interference offence in Part 5.2 if that person
     intended that, or was reckless as to whether, his or her conduct would
     cause embarrassment alone.

189. This definition reflects case law regarding the meaning of 'prejudice
     to national security', including Commonwealth v Fairfax (1980) 147 CLR
     39 at 52, in which a single judge of the High Court (Mason J)
     indicated that mere embarrassment was not sufficient to constitute
     prejudice to national security.

190. This amendment implements Recommendation 2 of the PJCIS report.

Amendment 27: Schedule 1, item 16, page 20 (after line 17)


191. This amendment will amend the definition of foreign principal to
     include a reference to foreign political organisation in new paragraph
     90.2(aa). This is necessary because because foreign political
     organisation will be removed from the definition of foreign government
     principal (Amendment 30), consistent with paragraph 3.87 of the PJCIS
     report, which stated:

      The Committee considers that it would be inappropriate for
      organisations that have no connection to a foreign government or
      foreign political party to be included as part of the definition of
      'foreign government principal'.

192. Foreign political organisation is defined in section 90.1 of the
     Criminal Code, as amended by Item 10 of Schedule 1 of the Bill and
     Amendment 24 of these amendments, to mean a foreign political party,
     an organisation that exists primarily to pursue political objectives,
     and a foreign organisation that exists to pursue militant, extremist
     or revolutionary objectives.

Amendment 28: Schedule 1, item 16, page 20 (line 23)


193. This amendment will insert a reference to paragraph 90.2(aa) (inserted
     by Amendment 27) in paragraph 90.2(d).

194. Paragraph 90.2(d) applies where an entity or organisation is owned,
     directed or controlled by another foreign principal that is a public
     international organisation or terrorist organisation.  If this
     paragraph applies, that entity or organisation will itself be a
     foreign principal.

195. The effect of this amendment to paragraph 90.2(d) will be to ensure
     that an entity or organisation owned, directed or controlled by a
     foreign political organisation (as defined in paragraph 90.2(aa))
     falls within the definition of foreign principal.

Amendment 29: Schedule 1, item 16, page 20 (line 26)


196. This amendment will insert a reference to paragraph 90.2(aa) (inserted
     by Amendment 27) in paragraph 90.2(e).

197. Paragraph 90.2(e) applies where an entity or organisation is owned,
     directed or controlled by two or more foreign principals that are a
     foreign government principal, a public international organisation or
     terrorist organisation.  If this paragraph applies, that entity or
     organisation will itself be a foreign principal.

198. The effect of this amendment to paragraph 90.2(e) will be to ensure
     that an entity or organisation owned, directed or controlled by two or
     more foreign principals within the meaning of paragraphs (aa), (a),
     (b) or (c) falls within the meaning of foreign principal.

Amendment 30: Schedule 1, item 16, page 21 (line 11)


199. This amendment will remove paragraph 90.3(g) of the definition of
     foreign government principal, which refers to 'a foreign political
     organisation'. This is consistent with paragraph 3.87 of the PJCIS
     report, which stated:

      The Committee considers that it would be inappropriate for
      organisations that have no connection to a foreign government or
      foreign political party to be included as part of the definition of
      'foreign government principal'.

200. Amendment 27 will insert a reference to a foreign political
     organisation into the definition of foreign principal in section 90.2.

201. Deleting paragraph 90.3(g) and removing 'a foreign political
     organisation' from the definition of foreign government principal to
     foreign principal will have an impact on the operation of the
     following provisions:

         . section 83.3 (military-style training involving a foreign
           government principal), and

         . section 92A.1 (theft of trade secrets involving a foreign
           government principal).

202. Sections 83.3 and 92A.1 criminalise certain conduct in relation to a
     foreign government principal. Removing 'a foreign political
     organisation' from this definition will have the effect that the
     offences in sections 83.3 and 92A.1 will no longer apply where the
     foreign principal is a foreign political organisation.

203. Amendments 15 and 16 will amend section 83.3 so that it continues to
     apply where the foreign principal is a foreign political organisation.
     It is intended that section 83.3 cover military-style training
     involving foreign political organisations, the definition of which
     includes extremist groups.

204. Section 92A.1 will not be amended to apply where the person is
     engaging in the conduct on behalf of a foreign political organisation.

Amendment 31: Schedule 1, Item 16, page 22 (lines 9 and 10)


205. This amendment will insert a new definition of security classification
     at section 90.5.  Security classification will be defined in
     subsection 90.5(1) to mean:

        . a classification of secret or top secret that is applied in
          accordance with the policy framework developed by the Commonwealth
          for the purpose (or for purposes that include the purpose) of
          identifying information that, if disclosed in an unauthorised
          manner, could be expected to:

               o for a classification of secret-cause serious damage to the
                 national interest, organisations or individuals, or

               o for a classification of top secret-cause exceptionally
                 grave damage to the national interest; or

        . any equivalent classification or marking prescribed by the
          regulations.

206. This amendment partially implements Recommendation 8 of the PJCIS
     Report, to the extent that it recommends that the Bill be amended to
     define each 'security classification' to which criminal liability
     attaches and each definition should include harm-based statutory
     criteria for determining the proper classification to apply to that
     information.  This amendment also implements Recommendation 9 of the
     PJCIS report, to the extent that it recommends narrowing the
     definition of 'security classification' to a classification of SECRET
     or TOP SECRET or equivalent.

207. The definition implements the PJCIS's recommendation that the
     definition should be based on harm-based criteria, as the
     classification provides clarity about the fact that the policy
     framework must have been developed by the Commonwealth for the purpose
     (or for purposes that include the purpose) of identifying information:

        . for a classification of SECRET - that, if disclosed in an
          unauthorised manner, could be expected to cause serious damage to
          the national interest, organisations or individuals

        . for a classification of TOP SECRET - that, if disclosed in an
          unauthorised manner, could be expected to cause exceptionally
          grave damage to the national interest.

208. These definitions align with the definitions of SECRET and TOP SECRET
     in the Australian Government's Protective Security Policy Framework
     (available at www.protectivesecurity.gov.au).

209. Paragraph 90.5(1)(b) provides the ability for any other equivalent
     classification or marking to be prescribed in regulations.  This
     provides flexibility to ensure the definition can be kept up to date
     if new protective markings of equivalent seriousness are introduced,
     or to ensure information bearing former protective markings of
     equivalent seriousness can continue to be protected.

210. The reference to an 'equivalent' classification means that lower
     levels of classification are not able to be prescribed.  For example,
     the classification level of PROTECTED could not be prescribed in the
     regulations as the unauthorised release of the information would not
     cause damage that is equivalent to the level of harm that is required
     for information at the SECRET level (which requires that unauthorised
     release of the information could cause serious damage to the national
     interest) or TOP SECRET level (which requires that unauthorised
     release of the information could cause exceptionally grave damage to
     the national interest).

211. Subsection 90.5(1A) provides that for the purpose of an element of an
     offence that information has a security classification, strict
     liability applies to the element that:

         . a classification is applied in accordance with the policy
           framework developed by the Commonwealth for the purpose (or for
           purposes that include the purpose) of identifying the
           information mentioned in subparagraph 90.5(1)(a)(i) or (ii), or

         . a classification or marking was prescribed by regulations as
           mentioned in paragraph 90.5(1)(b).

212. The effect of applying strict liability is that no fault element needs
     to be proved in relation to those parts of the definition.

213. The prosecution will still be required to prove that the information
     had a classification of TOP SECRET or SECRET or an equivalent
     classification and that the person was reckless as to this.  Section
     5.4 of the Criminal Code provides that a person is reckless with
     respect to:

         . a circumstance if he or she is aware of a substantial risk that
           the circumstance exists or will exist and, having regard to the
           circumstances known to him or her, it is unjustifiable to take
           that risk, and

         . a result if he or she is aware of a substantial risk that the
           result will occur and, having regard to the circumstances known
           to him or her, it is unjustifiable to take the risk.

214. For paragraph 90.5(1)(a), the prosecution will also be required to
     prove that the security classification was applied in accordance with
     the policy framework developed by the Commonwealth for the purpose (or
     for purposes that include the purpose) of identifying information:

         . for a classification of SECRET - that, if disclosed in an
           unauthorised manner, could be expected to cause serious damage
           to the national interest, organisations or individuals

         . for a classification of TOP SECRET - that, if disclosed in an
           unauthorised manner, could be expected to cause exceptionally
           grave damage to the national interest.

215. For paragraph 90.5(1)(a), the prosecution will not be required to
     prove any actual or likely damage to the national interest in relation
     to the information that is the subject of the security classification.



216. The effect of subsection 90.5(1A) in applying strict liability to this
     element of the definition of security classification is that the
     prosecution will not need to prove that the person who dealt with the
     information knew or was reckless as to whether the security
     classification was applied in accordance with the policy framework
     developed by the Commonwealth.

217. Strict liability is appropriate for this element because the person's
     state of mind about the fact that the classification was applied under
     an appropriate Commonwealth policy framework for the purpose of
     identifying such information is not relevant to their culpability.  It
     is sufficient for the prosecution to prove that the person was
     reckless as to the fact that the information was classified as SECRET
     or TOP SECRET.  It is not reasonable to expect that a person would be
     familiar with the methods for applying classifications to information,
     nor the exact meaning of the classifications.  There is unlikely to be
     sufficient evidence to allow the prosecution to prove that a person
     was reckless about this level of detail about the policy framework
     sitting behind the application of a classification of SECRET or TOP
     SECRET.

218. For paragraph 90.5(1)(b), the prosecution will need to prove that the
     person was reckless as to the fact that the information had a
     classification equivalent to SECRET or TOP SECRET. However, the effect
     of subsection 90.5(1A) is that the prosecution will not need to prove
     that the person who dealt with the information knew or was reckless as
     to the fact that this was prescribed by regulations. Strict liability
     is appropriate for this element because the person's state of mind
     about the fact that the classification was prescribed by regulations
     is not relevant to their culpability. It is sufficient for the
     prosecution to prove that the person was reckless as to the fact that
     the information had a classification equivalent to SECRET or
     TOP SECRET.  It is not reasonable to expect a person to be familiar
     with the method for prescribing equivalent classifications. There is
     unlikely to be sufficient evidence to allow the prosecution to prove
     that a person was reckless about this level of detail about the
     process for prescribing an equivalent classification.

219. Strict liability is set out in section 6.1 of the Criminal Code.  The
     effect of applying strict liability to an element of an offence means
     that no fault element needs to be proved and the defence of mistake of
     fact is available.

220. The defence of mistake of fact is set out in section 9.2 of the
     Criminal Code.  The defence provides that a person is not criminally
     responsible for an offence that includes a physical element to which
     strict liability applies if:

         . at or before the time of the conduct constituting the physical
           element, the person considered whether or not a fact existed,
           and is under a mistaken but reasonable belief about those facts,
           and

         . had those facts existed, the conduct would not have constituted
           an offence.

Amendment 32: Schedule 1, item 16, page 22 (lines 13 and 14)


221. This amendment will substitute the reference to 'policies of the
     Government of the Commonwealth in relation to protective security'
     with 'policy framework mentioned in paragraph (1)(a)' in subsection
     90.5(2). This amendment is a consequence of Amendment 31, which amends
     subsection 90.5(1) to include a reference to the policy framework
     developed by the Commonwealth for the purpose (or for purposes that
     include the purpose) identifying information:

         . for a classification of SECRET - that, if disclosed in an
           unauthorised manner, could be expected to cause serious damage
           to the national interest, organisations or individuals

         . for a classification of TOP SECRET - that, if disclosed in an
           unauthorised manner, could be expected to cause exceptionally
           grave damage to the national interest.

222. It is therefore not necessary for subsection 90.5(2) to refer to 'the
     policies of the Government of the Commonwealth in relation to
     protective security' as it is appropriate for the Governor-General's
     power to make regulations to be limited by reference to the policy
     framework for the classification of information within the meaning of
     paragraph 90.5(1)(a).

Amendment 33: Schedule 1, item 16, page 22 (line 19)


223. This amendment will amend subsection 90.5(3) to ensure that, if
     regulations are made to prescribe an equivalent classification for the
     purposes of paragraph 90.5(1)(b) of the definition of security
     classification, those regulations may not apply, adopt or incorporate
     any matter contained in any instrument or other writing unless it is
     publicly available. This will ensure that every person interested in
     or affected by the espionage and secrecy offences (which use the
     terminology 'security classification') will be able to readily and
     freely access its terms.

224. This amendment implements Recommendation 8 of the PJCIS Report, to the
     extent that it recommends that material incorporated by reference into
     the regulations should be required to be publicly available.

Amendment 34: Schedule 1, item 16, page 22 (after line 19)


225. This amendment will insert a new section 90.6 to clarify that nothing
     in Part 5.2 (Espionage and related offences) affects the
     interpretation of key terms in the Australian Security Intelligence
     Organisation Act 1979, unless that Act expressly provides otherwise.
     This amendment implements Recommendation 5 of the PJCIS report.

Amendment 35: Schedule 1, item 17, page 22 (line 25)


226. This amendment updates the heading of the offence at section 91.1 to
     add the words 'communicated or'.

227. This amendment is a consequence of Amendment 25, which inserts a
     definition of make available.  Following the introduction of this
     specific definition, it is necessary to clarify that these offences
     will be committed if a person's conduct results in the information or
     article being 'communicated to' or made available to a foreign
     principal.

Amendment 36: Schedule 1, item 17, page 23 (line 7)


228. This amendment updates paragraph 91.1(1)(d) to clarify that the
     offence will be committed if a person's conduct results in the
     information or article being 'communicated to' or made available to a
     foreign principal.

229. It was always intended that the espionage offences would be committed
     where the defendant actually communicated the information to the
     foreign principal.  However, without this amendment, the inclusion of
     the specific definition of make available (as inserted by Amendment
     25), which does not specifically cover communication, could raise
     doubt as to whether this conduct is covered.

Amendment 37: Schedule 1, item 17, page 23 (line 22)


230. This amendment updates paragraph 91.1(2)(d) to clarify that the
     offence will be committed if a person's conduct results in the
     information or article being 'communicated to' or made available to a
     foreign principal.

231. It was always intended that the espionage offences would be committed
     where the defendant actually communicated the information to the
     foreign principal.  However, the inclusion of the specific definition
     of make available (as inserted by Amendment 25), which does not
     specifically cover communication, could raise doubt as to whether this
     conduct is covered.

Amendment 38: Schedule 1, Item 17, page 23 (lines 25 and 26)


232. This amendment will remove subsection 91.1(3) that applies strict
     liability to the physical element that the information or article has
     a security classification in new section 91.1 (which makes it offence
     to deal with information which has a security classification in
     certain circumstances).  This amendment responds to Recommendation 9
     of the PJCIS report, which recommends removing strict liability from
     espionage and secrecy offences.

233. For subparagraphs 91.1(1)(b)(i) and 91.1(2)(b)(i), the prosecution
     will have to prove that the information had a security classification.
      Security classification is defined in section 90.5, as amended by
     Amendments 31, 32 and 33.

234. Consistent with new subsection 90.5(1A), strict liability will apply
     to some aspects of the definition of security classification.
     Subsection 90.5(1A) provides that strict liability applies to the
     element that:

         . a classification is applied in accordance with the policy
           framework developed by the Commonwealth for the purpose (or for
           purposes that include the purpose) of identifying the
           information mentioned in subparagraph 90.5(1)(a)(i) or (ii), or

         . a classification or marking was prescribed by regulations as
           mentioned in paragraph 90.5(1)(b).

235. The effect of applying strict liability is that no fault element needs
     to be proved in relation to those parts of the definition.

236. The prosecution will still be required to prove that the information
     had a classification of TOP SECRET or SECRET or an equivalent
     classification and that the person was reckless as to this.  Section
     5.4 of the Criminal Code provides that a person is reckless with
     respect to:

         . a circumstance if he or she is aware of a substantial risk that
           the circumstance exists or will exist and, having regard to the
           circumstances known to him or her, it is unjustifiable to take
           that risk, and

         . a result if he or she is aware of a substantial risk that the
           result will occur and, having regard to the circumstances known
           to him or her, it is unjustifiable to take the risk.

237. Strict liability is set out in section 6.1 of the Criminal Code.  The
     effect of applying strict liability to an element of an offence means
     that no fault element needs to be proved and the defence of mistake of
     fact is available.

238. The defence of mistake of fact is set out in section 9.2 of the
     Criminal Code.  The defence provides that a person is not criminally
     responsible for an offence that includes a physical element to which
     strict liability applies if:

         . at or before the time of the conduct constituting the physical
           element, the person considered whether or not a fact existed,
           and is under a mistaken but reasonable belief about those facts,
           and

         . had those facts existed, the conduct would not have constituted
           an offence.

Amendment 39: Schedule 1, item 17, page 24 (line 5)


239. This amendment updates the heading of the offence at section 91.2 to
     add the words 'communicated or'.

240. This amendment is a consequence of Amendment 25, which inserts a
     definition of make available.  Following the introduction of this
     specific definition, it is necessary to clarify that these offences
     will be committed if a person's conduct results in the information or
     article being 'communicated to' or made available to a foreign
     principal.

Amendment 40: Schedule 1, item 17, page 24, (line 13)


241. This amendment will update paragraph 91.1(1)(c) to clarify that the
     offence will be committed if a person's conduct results in the
     information or article being 'communicated or' made available to a
     foreign principal.

242. It was always intended that the espionage offences would be committed
     where the defendant actually communicated the information to the
     foreign principal.  However, without this amendment, the inclusion of
     the specific definition of make available (as inserted by Amendment
     25), which does not specifically cover communication, could raise
     doubt as to whether this conduct is covered.

Amendment 41: Schedule 1, item 17, page 24 (line 24)


243. This amendment updates paragraph 91.2(2)(c) to clarify that the
     offence will be committed if a person's conduct results in the
     information or article being 'communicated to' or made available to a
     foreign principal.

244. It was always intended that the espionage offences would be committed
     where the defendant actually communicated the information to the
     foreign principal.  However, without this amendment, the inclusion of
     the specific definition of make available (as inserted by Amendment
     25), which does not specifically cover communication, could raise
     doubt as to whether this conduct is covered.

Amendment 42: Schedule 1, item 17, page 25 (after line 3)


245. This amendment will insert a new element into the offence at section
     91.3. The new element will narrow the scope of the offence in section
     91.3 to apply only where the person's primary purpose in dealing with
     the information or article was to communicate or make it available to
     a foreign principal or a person acting on behalf of a foreign
     principal. This amendment implements Recommendation 38 of the PJCIS
     report to the extent that it recommends requiring that the person
     dealt with the information for the 'primary purpose' of making it
     available to a foreign principal.

246. This amendment will insert new paragraph 91.3(1)(aa) into the offence,
     which will require the prosecution to prove that the person deals with
     the information or article for the primary purpose of communicating or
     making the information or article available to a foreign principal or
     a person acting on behalf of a foreign principal.

247. This amendment ensures that conduct that results in information
     carrying a security classification being communicated or made
     available to a foreign principal (as defined in section 90.2) is
     punishable as an espionage offence only where the person's primary
     purpose in dealing with the information was to communicate the
     information to, or make the information available to, a foreign
     principal.

248. The inclusion of this additional element ensures that the offence will
     not inappropriately cover the publication of information by a
     journalist whose conduct does indirectly make the information
     available to a foreign principal, but whose primary purpose is to
     report news or current affairs to the public.

249. Amendment 46 will insert new subsection 91.3(3), which will apply
     strict liability to paragraph 91.3(1)(aa) so that the prosecution will
     not need to prove that the person was reckless as to whether he or she
     dealt with information or article for the primary purpose of making
     the information or article available to a foreign principal or person
     acting on behalf of a foreign principal. Strict liability is
     appropriate for this element because it already contains a quasi-fault
     element of 'primary purpose'. Given the prosecution is required to
     prove that the person's primary purpose was to make the information or
     article available to a foreign principal, it is unnecessary to
     additionally require the prosecution to prove any other fault element.



250. Strict liability is set out in section 6.1 of the Criminal Code.  The
     effect of applying strict liability to an element of an offence means
     that no fault element needs to be proved and the defence of mistake of
     fact is available.

251. The defence of mistake of fact is set out in section 9.2 of the
     Criminal Code.  The defence provides that a person is not criminally
     responsible for an offence that includes a physical element to which
     strict liability applies if:

         . at or before the time of the conduct constituting the physical
           element, the person considered whether or not a fact existed,
           and is under a mistaken but reasonable belief about those facts,
           and

         . had those facts existed, the conduct would not have constituted
           an offence.

Amendment 43: Schedule 1, item 17, page 25 (line 5)


252. This amendment updates paragraph 91.3(1)(b) to clarify that the
     offence will be committed if a person's conduct results in the
     information or article being 'communicated or' made available to a
     foreign principal.

253. It was always intended that the espionage offences would be committed
     where the defendant actually communicated the information to the
     foreign principal.  However, without this amendment, the inclusion of
     the specific definition of make available (as inserted by Amendment
     25), which does not specifically cover communication, could raise
     doubt as to whether this conduct is covered.

Amendment 44: Schedule 1, item 17, page 25 (lines 7 to 9)


254. This amendment removes information or articles that concern
     Australia's national security from the scope of the espionage offence
     in section 91.3. This amendment, together with Amendments 31 and 46)
     implements Recommendation 38 of the PJCIS report.

255. This amendment omits current paragraph 91.3(1)(c), which refers to
     information that concerns national security and information that has a
     security classification and replaces it with a new paragraph
     91.3(1)(c) which only refers to information that has a security
     classification.

256. For new paragraph 91.3(1)(c), the prosecution will have to prove that
     the information had a security classification.  Security
     classification is defined in section 90.5, as amended by Amendment 31.

257. The prosecution will be required to prove that the information had a
     classification of TOP SECRET or SECRET or an equivalent classification
     and that the person was reckless as to this.  Section 5.4 of the
     Criminal Code provides that a person is reckless with respect to:

         . a circumstance if he or she is aware of a substantial risk that
           the circumstance exists or will exist and, having regard to the
           circumstances known to him or her, it is unjustifiable to take
           that risk, and

         . a result if he or she is aware of a substantial risk that the
           result will occur and, having regard to the circumstances known
           to him or her, it is unjustifiable to take the risk.

258. Consistent with new subsection 90.5(1A), strict liability will apply
     to some aspects of the definition of security classification.
     Subsection 90.5(1A) provides that strict liability applies to the
     element that:

         . a classification is applied in accordance with the policy
           framework developed by the Commonwealth for the purpose (or for
           purposes that include the purpose) of identifying the
           information mentioned in subparagraph 90.5(1)(a)(i) or (ii), or

         . a classification or marking was prescribed by regulations as
           mentioned in paragraph 90.5(1)(b).

259. Strict liability is set out in section 6.1 of the Criminal Code.  The
     effect of applying strict liability to an element of an offence means
     that no fault element needs to be proved and the defence of mistake of
     fact is available.

260. The defence of mistake of fact is set out in section 9.2 of the
     Criminal Code.  The defence provides that a person is not criminally
     responsible for an offence that includes a physical element to which
     strict liability applies if:

         . at or before the time of the conduct constituting the physical
           element, the person considered whether or not a fact existed,
           and is under a mistaken but reasonable belief about those facts,
           and

         . had those facts existed, the conduct would not have constituted
           an offence.

Amendment 45: Schedule 1, item 17, page 25 (line 11)


261. This amendment is consequential to Amendment 42, which narrows the
     scope of the new espionage offence in section 91.3 to apply only where
     the person's primary purpose in dealing with the information was to
     communicate the information or make it available to a foreign
     principal or a person acting on their behalf.

262. This amendment will amend subsection 91.3(2) to add a reference to new
     paragraph 91.3(1)(aa) so that, for the purpose of proving that the
     person dealt with the information for the primary purpose of making it
     available to a foreign principal, the person need not have in mind a
     particular foreign principal and the person may have in mind more than
     one foreign principal.

263. For example, a person may assist an individual who has identified
     themselves to the defendant as a foreign official, but has not
     specified which foreign country they represent or a person may provide
     assistance in the knowledge this assistance will or could assist
     multiple foreign principals at the same time.

Amendment 46: Schedule 1, item 17, page 25 (line 15)


264. This amendment will amend subsection 91.3(3) so that strict liability
     will no longer apply to the physical element that the information has
     a security classification in subparagraph 91.3(1)(c)(i). Subsection
     91.3(3) will instead apply strict liability to paragraph 91.3(1)(aa)
     (inserted by Amendment 42).

265. The effect of applying strict liability to paragraph 91.3(1)(aa) is
     that the prosecution will not need to prove that the person was
     reckless as to whether he or she dealt with information or article for
     the primary purpose of making the information or article available to
     a foreign principal or person acting on behalf of a foreign principal
     (new element in paragraph 91.3(1)(aa)). Strict liability is
     appropriate for this element because it already contains a quasi-fault
     element of 'primary purpose'. If the prosecution can prove that the
     person's primary purpose was to make the information or article
     available to a foreign principal or person acting on behalf of a
     foreign principal, then it would be unnecessary to additionally prove
     any other fault element.

266. Strict liability is set out in section 6.1 of the Criminal Code.  The
     effect of applying strict liability to an element of an offence means
     that no fault element needs to be proved and the defence of mistake of
     fact is available.

267. The defence of mistake of fact is set out in section 9.2 of the
     Criminal Code.  The defence provides that a person is not criminally
     responsible for an offence that includes a physical element to which
     strict liability applies if:

         . at or before the time of the conduct constituting the physical
           element, the person considered whether or not a fact existed,
           and is under a mistaken but reasonable belief about those facts,
           and

         . had those facts existed, the conduct would not have constituted
           an offence.

Amendment 47: Schedule 1, item 17, page 25 (line 17)


268. This amendment will insert 'by a person' after the words 'for an
     offence' in subsection 91.4(1). This is a minor technical amendment to
     ensure consistency in the wording of the defence provision at
     subsection 91.4 for Subdivision A (espionage) offences with the
     wording of the defence provision for secrecy offences (at section
     122.5).

269. This amendment will also make it clear that 'the person' subsequently
     referred to in subsection 91.4(1) is the defendant.

270. This amendment implements Recommendation 60 of the PJCIS report to
     make minor changes that ensure clarity.

Amendment 48: Schedule 1, item 17, page 25 (line 26)


271. This amendment will substitute 'of an offence' with 'for an offence by
     a person' in subsection 91.4(2). This is a minor technical amendment
     to ensure consistency in the wording of the defence provision at
     subsection 91.4 for Subdivision A (espionage) offences with the
     wording of the defence provision for secrecy offences (at section
     122.5).

272. This amendment will also make it clear that 'the person' subsequently
     referred to in subsection 91.4(2) is the defendant.

273. This amendment implements Recommendation 60 of the PJCIS report to
     make minor changes that ensure clarity.

Amendment 49: Schedule 1, item 17, page 25 (after line 32)


274. This amendment will insert a new defence (at subsection 91.4(3)) to a
     prosecution for an offence against section 91.1, in which the
     prosecution relies on subparagraph 91.1(1)(c)(ii) or (2)(c)(ii), or
     against section 91.3. The new defence will provide a defence to a
     prosecution for the espionage offences specified if there has been a
     prior publication of that information in certain circumstances.

275. The defence will apply if:

         . the person did not make or obtain the information by reason of
           any of the following:

                o  his or her being, or having been, a public official

                o  his or her being otherwise engaged to perform work for a
                  Commonwealth entity

                o  an arrangement or agreement to which the Commonwealth or
                  a Commonwealth entity is party and which allows for the
                  exchange of information

         . the information has already been communicated, or made
           available, to the public (the prior publication)

         . the person was not involved in the prior publication (whether
           directly or indirectly)

         . at the time of the person deals with the information or article,
           the person believes doing so will not prejudice Australia's
           national security, and

         . having regard to the nature, extent and place of the prior
           publication, the person has reasonable grounds for that belief.

276. The defence is limited to the offences against subparagraph
     91.1(1)(c)(ii) or (2)(c)(ii), or against section 91.3 as these
     offences do not have an element of intention to prejudice Australia's
     national security. It would not be coherent for this defence to apply
     to offences which have intention to prejudice Australia's national
     security as an element of the offence, given the defence requires that
     the person believe they will not prejudice Australia's national
     security. In respect of offences that require intention to prejudice
     Australia's national security, the prosecution will already be
     required to disprove the defence in order to make out the elements of
     the offence.

277. The defence is in similar terms to the defence at new subsection
     122.5(8) for secrecy offences. The defence is drafted in similar terms
     to the prior publication defence contained in subsection 35P(3A) of
     the ASIO Act. Subsection 35P(3A) was inserted following the
     recommendation of the then-Independent National Security Legislation
     Monitor, the Hon Roger Gyles AO QC, in his Report on the impact on
     journalists of the operation of section 35P of the ASIO Act, which was
     tabled in the Parliament on 2 February 2016.

278. It is intended that paragraph 91.4(3)(a) will limit the availability
     of the defence to individuals who did not receive the relevant
     information in an official capacity. Persons who have received
     information in their official capacity will not be criminally liable
     for communicating or dealing with the information in their official
     capacity, by reason of the defence in subsection 91.4(1). The
     limitation of the prior publication defence in subsection 91.4(3) to
     persons who did not receive the relevant information in an official
     capacity is consistent with the Monitor's recommendation, and the
     drafting of subsection 35P(3A).

279. The defence under subsection 91.4(3) seeks to strike a balance between
     freedom of expression on the one hand, and recognition that further
     dissemination of information to a foreign principal could cause
     additional harm on the other hand. Before disclosing information that
     has already been published, a person must believe on reasonable
     grounds that the subsequent disclosure will not cause harm. This is
     because in some cases, even where information is considered to have
     been published and in the public domain, subsequent disclosure will
     still result in harm. For example, this would be the case where
     information is brought into the public domain inadvertently, such as
     where a security classified document or information provided to the
     Australian Government in accordance with a legal obligation is
     revealed as a result of a technical or administrative error. Where
     steps are quickly taken to reverse the disclosure, subsequent
     publication of that information is likely to bring that information to
     the attention of a foreign principal and could result in considerable
     new or additional harm.

280. The Note under the defence at subsection 91.4(3) clarifies that the
     defendant will bear an evidential burden in relation to this defence.
     Section 13.3 of the Criminal Code provides that in the case of a
     standard 'evidential burden' defence, the defendant bears the burden
     of pointing to evidence that suggests a reasonable possibility that
     the defence is made out. If this is done, the prosecution must refute
     the defence beyond reasonable doubt (section 13.1).

281. The Guide to Framing Commonwealth Offences provides (at paragraph
     4.3.1) that it is appropriate for a matter to be included in an
     offence-specific defence where it is peculiarly within the knowledge
     of the defendant and it would be significantly more difficult and
     costly for the prosecution to disprove than for the defendant to
     establish the matter.

282. The imposition of the evidential burden on the defendant is
     appropriate because the defendant should be readily able to point to
     evidence founding a suggestion that there is a reasonable possibility
     that they did not receive the information in an official capacity, the
     information has already been communicated, or made available, to the
     public, that the person was not involved in the prior publication, and
     that they believed on reasonable grounds that their communication
     would not prejudice Australia's national security.  In addition, this
     is expected to be a rare situation and is unlikely to be a feature of
     every case that is investigated and referred for prosecution.  It
     would be unnecessary and significantly costly if the prosecution was
     required to disprove this for every prosecution of offence against
     subparagraph 91.1(c)(ii), subparagraph 91.1(2)(c)(ii) or section 91.3.
     It is appropriate to include it as a defence and allow the defendant
     to raise the matter if the facts and circumstances are appropriate.

283. This amendment implements Recommendation 37 of the PJCIS report.

Amendment 50: Schedule 1, item 17, page 26 (line 15)


284. This amendment will amend subsection 91.6(1), which provides for an
     aggravated espionage offence, to clarify that it does not apply to the
     offence at subsection 91.1(1).

285. The offence at subsection 91.1(1) attracts the highest possible
     maximum penalty of life imprisonment and the penalty is therefore
     unable to be increased as part of the aggravated offence.  Section
     91.5 deals with how the penalty for an offence against subsection
     91.1(1) should be dealt with if any of the aggravating circumstances
     in paragraph 91.6(1)(b) exist.

286. This is a technical change to ensure clarity and does not change the
     operation of section 91.6.

287. This amendment implements Recommendation 60 of the PJCIS report to
     make minor changes that ensure clarity.

Amendment 51: Schedule 1, item 17, page 26 (lines 19 and 20)


288. This amendment, which omits subparagraph 91.6(1)(b)(i)) is
     consequential to the change to the definition of security
     classification in section 90.5 (at Amendment 31), which is now limited
     only to information classified as SECRET or TOP SECRET.  The
     aggravated espionage offence at section 91.6 currently provides, at
     subparagraph 91.6(1)(b)(i), that it is an aggravating factor if a
     person deals with information or an article that has a security
     classification of secret or above.

289. The amendments to the definition of security classification has the
     effect of limiting the scope of the offences at 91.1 and 91.3, in
     relation to dealing with security classified material, so that they
     only apply to information or articles classified as SECRET or TOP
     SECRET. Therefore, the aggravating circumstance of dealing with
     information or an article classified secret or above is no longer
     appropriate as Amendment 31 has the effect of making this an element
     of the underlying offence.

Amendment 52: Schedule 1, item 17, page 26 (line 29)


290. This amendment will amend subparagraph 91.6(1)(b)(v) to add the words
     'allowing the person to access information that has a security
     classification of at least secret'.

291. This amendment limits the aggravating circumstance so that it only
     applies where a person holds an Australian Government security
     clearance to persons holding such a clearance allowing access to
     information classified at the level of SECRET or above. In accordance
     with current Commonwealth protective security policies, this means
     that the aggravating factor at subparagraph 91.6(1)(b)(v) would apply
     to persons holding security clearances at the Negative Vetting 1,
     Negative Vetting 2 and Positive Vetting levels.

292. Security clearances allowing access to SECRET and TOP SECRET
     information imports a high level of trust to maintain the security of
     information, and is commensurate with the higher culpability and
     penalty imposed by an aggravating offence.

293. Australian Government security clearance will be defined in the
     Dictionary to the Criminal Code to mean a security clearance given by
     the Australian Government Security Vetting Agency or by another
     Commonwealth, State or Territory agency that is authorised or approved
     by the Commonwealth to issue security clearances.  Amendment 69 will
     insert this definition into the Dictionary.

294. Recklessness will continue to be the fault element applying to the
     aggravating circumstance at subparagraph 91.6(1)(b)(v).  Section 5.4
     of the Criminal Code provides that a person is reckless with respect
     to:

         . a circumstance if he or she is aware of a substantial risk that
           the circumstance exists or will exist and, having regard to the
           circumstances known to him or her, it is unjustifiable to take
           that risk, and

         . a result if he or she is aware of a substantial risk that the
           result will occur and, having regard to the circumstances known
           to him or her, it is unjustifiable to take the risk.

295. This amendment implements Recommendation 40 of the PJCIS Report.

Amendment 53: Schedule 1, item 17, page 27 (line 4)


296. This amendment will remove subsection 91.6(3).  The effect of this
     amendment is that strict liability will no longer apply to the element
     that the person dealt with five or more records or articles, each of
     which had a security classification. This amendment implements
     Recommendation 9 of the PJCIS report, which recommends removing strict
     liability from espionage and secrecy offences.

297. The effect of this amendment is that the prosecution will need to
     prove that the defendant is reckless as to the element of the offence
     at subparagraph 91.6(1)(b)(iii) that the person dealt with five or
     more records or articles, each of which had a security classification.
     Section 5.4 of the Criminal Code provides that a person is reckless
     with respect to:

         . a circumstance if he or she is aware of a substantial risk that
           the circumstance exists or will exist and, having regard to the
           circumstances known to him or her, it is unjustifiable to take
           that risk, and

         . a result if he or she is aware of a substantial risk that the
           result will occur and, having regard to the circumstances known
           to him or her, it is unjustifiable to take the risk.

298. For subparagraph, the prosecution will have to prove that the each of
     the records had a security classification.  Security classification is
     defined in section 90.5, as amended by Amendments 31, 32, and 33.

299. The prosecution will be required to prove that the records had a
     classification of TOP SECRET or SECRET or an equivalent classification
     and that the person was reckless as to this.

300. Consistent with new subsection 90.5(1A), strict liability will apply
     to some aspects of the definition of security classification.
     Subsection 90.5(1A) provides that strict liability applies to the
     element that:

         . a classification is applied in accordance with the policy
           framework developed by the Commonwealth for the purpose (or for
           purposes that include the purpose) of identifying the
           information mentioned in subparagraph 90.5(1)(a)(i) or (ii), or

         . a classification or marking was prescribed by regulations as
           mentioned in paragraph 90.5(1)(b).

301. Strict liability is set out in section 6.1 of the Criminal Code.  The
     effect of applying strict liability to an element of an offence means
     that no fault element needs to be proved and the defence of mistake of
     fact is available.

302. The defence of mistake of fact is set out in section 9.2 of the
     Criminal Code.  The defence provides that a person is not criminally
     responsible for an offence that includes a physical element to which
     strict liability applies if:

         . at or before the time of the conduct constituting the physical
           element, the person considered whether or not a fact existed,
           and is under a mistaken but reasonable belief about those facts,
           and

         . had those facts existed, the conduct would not have constituted
           an offence.

Amendment 54: Schedule 1, item 17, page 29 (line 16)


303. This amendment will insert 'by a person' after 'for an offence' in
     subsection 91.9(1). This is a minor technical amendment to ensure
     consistency in the wording of the defence provision at subsection 91.9
     for Subdivision B (espionage on behalf of foreign principal) offences
     with the wording of the defences for secrecy offences at section
     122.5.

304. This amendment will also make it clear that 'the person' subsequently
     referred to in subsection 91.9(1) is the defendant.

305. This amendment implements Recommendation 60 of the PJCIS report to
     make minor changes that ensure clarity.

Amendment 55: Schedule 1, item 17, page 29 (line 25)


306. This amendment will substitute 'of an offence' with 'for an offence by
     a person' in subsection 91.9(2). This is a minor technical amendment
     to ensure consistency in the wording of the defence provision at
     subsection 91.9 for Subdivision B (espionage on behalf of foreign
     principal) offences with the wording of the defence provision for
     secrecy offences (at subsection 122.5).

307. This amendment will also make it clear that 'the person' subsequently
     referred to in subsection 91.9(2) is the defendant.

308. This amendment implements Recommendation 60 of the PJCIS report to
     make minor changes that ensure clarity.

Amendment 56: Schedule 1, item 17, page 31 (line 29)


309. This amendment will insert 'by a person' after 'for an offence' in
     subsection 91.13. This is a minor technical amendment to ensure
     consistency in the wording of the defence provision at section 91.13
     for Subdivision C (espionage-related offences) with the wording of the
     defences for secrecy offences at section 122.5.

310. This amendment will also make it clear that 'the person' subsequently
     referred to in section 91.13 is the defendant.

311. This amendment implements Recommendation 60 of the PJCIS report to
     make minor changes that ensure clarity.

Amendment 57: Schedule 1, item 17, page 35 (line 1)


312. This amendment will substitute the reference to 'deceptive' with
     'involves deception' in proposed subparagraph 92.3(2)(d)(i) to ensure
     consistent use of terminology. The term 'involves deception' is used
     in subparagraph 92.2(1)(d)(i).

313. The amendment ensures that subparagraph 92.3(2)(d)(i) appropriately
     picks up the definition of deception in section 92.1 of the Criminal
     Code.  The term 'deceptive' is not used and the incorrect reference in
     subparagraph 92.3(2)(d)(i) could lead to confusion in interpreting the
     offence in future.

314. This amendment implements Recommendation 60 of the PJCIS report to
     make minor changes that ensure clarity.

Amendment 58: Schedule 1, item 17, page 36 (line 18)


315. This amendment will insert 'by a person' after 'for an offence' in
     subsection 92.5. This is a minor technical amendment to ensure
     consistency in the wording of the defence provision at subsection 92.5
     for Subdivision B (foreign interference) offences with the wording of
     the defence provision for secrecy offences (at section 122.5).

316. This amendment will also make it clear that 'the person' subsequently
     referred to in section 92.5 is the defendant.

317. This amendment implements Recommendation 60 of the PJCIS report to
     make minor changes that ensure clarity.

Amendment 59: Schedule 1, item 17, page 37 (line 5)


318. This amendment will amend paragraph 92.7(a) to replace a reference to
     'support' with a reference to 'material support'.

319. This will make it clear on the face of the legislation that the term
     'support' covers the provision of a benefit or other practical goods
     or aid and does not extend to non-material support, for example a
     journalist reporting positively, or neutrally about a foreign
     intelligence agency. News reporting, editorial or opinion writing and
     humanitarian assistance will not constitute 'material support'.

320. This amendment implements Recommendation 42 of the PJCIS report.

Amendment 60: Schedule 1, item 17, page 37 (line 14)


321. This amendment will amend paragraph 92.8(a) to replace a reference to
     'support' with a reference to 'material support'.

322. This will make it clear on the face of the legislation that the term
     'support' covers the provision of a benefit or other practical goods
     or aid and does not extend to non-material support, for example a
     journalist reporting positively, or neutrally about a foreign
     intelligence agency.  News reporting, editorial or opinion writing and
     humanitarian assistance will not constitute 'material support'.

Amendment 61: Schedule 1, item 17, page 38 (line 18)


323. This amendment will insert 'by a person' after 'for an offence' in
     section 92.11. This is a minor technical amendment to ensure
     consistency in the wording of the defence provision at section 92.11
     for Subdivision C (foreign interference involving foreign intelligence
     agencies) offences with the wording of the defence provision for
     secrecy offences (at section 122.5).

324. This amendment will also make it clear that 'the person' subsequently
     referred to in section 92.11 is the defendant.

325. This amendment implements Recommendation 60 of the PJCIS report to
     make minor changes that ensure clarity.

Amendment 62: Schedule 1, item 18, page 40 (lines 6 to 8)


326. This amendment will amend new section 93.1, which provides that the
     consent of the Attorney-General is required for prosecution of a
     person of an offence in Part 5.2-Espionage and related offences.

327. The Attorney-General's consent is commonly required to commence
     proceedings that could affect Australia's international relations or
     national security. These are considerations that the CDPP is not able
     to take into account under the Prosecution Policy of the Commonwealth.



328. Paragraph 93.1(1)(a) requires the Attorney-General to provide written
     consent before proceedings for the commitment of a person for trial
     for an offence against Part 5.2 can be commenced.  This provides the
     Attorney-General with the opportunity to receive advice from relevant
     agencies and other Ministers on sensitivities that might arise if
     proceedings are commenced for offences under Part 5.2, and provides
     opportunity for consideration of whether the prosecution could be
     detrimental to Australia's foreign relations and national security.

329. Consistent with paragraph 93.1(1)(b), proceedings that relate
     information or an article that has a security classification (as
     defined in section 90.5) must also not be initiated unless the
     Attorney-General has certified that, at the time of the conduct that
     is alleged to constitute the offence, it was appropriate that the
     information or article had a security classification. This will ensure
     that a person is safeguarded from prosecution for an offence relating
     to information classified secret or top secret if the classification
     was not appropriate at the time the person committed the offence. For
     example, a document may have been created many years ago, when it
     appropriately carried a classification of TOP SECRET but given the
     passage of time the document may now not be sensitive and may be
     unclassified. In these circumstances, certification could not be
     given.

330. As long as a classification of either SECRET or TOP SECRET is
     appropriate, the Attorney-General will be able to give a certification
     under subsection 93.1(1).  For example, if a document was classified
     as TOP SECRET two years ago, but now appropriately carries a
     classification of SECRET, the Attorney-General will be able to give
     the certification.

331. This amendment implements Recommendation 10 of the PJCIS report.
     Although the PJCIS recommended that the head of the originating agency
     given the relevant certification, it is not considered appropriate to
     require the CDPP to see certification from an agency head as well as
     consent to prosecute from the Attorney-General.  It is more
     administratively efficient to combine the two processes.  The Attorney-
     General will need to receive briefing from the originating agency
     about the appropriate level of security classification that should be
     applied to the information.

Amendment 63: Schedule 1, item 18, page 40 (line 10)


332. This amendment will replace the reference to 'consent having been
     given' with 'the consent or certification having been given' in
     subsection 93.1(2) as a consequence of Amendment 62 (which includes a
     new provision requiring the Attorney-General's certification in
     relation to information or articles that have a security
     classification).

Amendment 64: Schedule 1, item 18, page 40 (line 20)


333. This amendment will replace the reference to '91.4(1)' with '91.4' in
     subsection 93.1(4) as a consequence of Amendment 49, which inserts an
     additional defence in additional subsection 91.4(3). This will ensure
     that in deciding whether to consent to a prosecution of an offence
     against Part 5.2-espionage and related offences, the Attorney-General
     will be required to consider all of the defences in section 91.4.

334. This implements Recommendation 37 of the PJCIS report, to the extent
     that it recommends that, prior to instituting proceedings to commit a
     person to trial for an espionage offence, the Attorney-General must
     consider whether the conduct might be authorised in any of the
     defences outlined in Division 91.

Amendment 65: Schedule 1, item 18, page 40 (line 23)


335. This amendment will replace the reference to '91.9(1)' with '91.9' in
     subsection 93.1(4). This is because there is an additional defence in
     subsection 91.9(2). This will ensure that in deciding whether to
     consent to a prosecution of an offence against Part 5.2-espionage and
     related offences, the Attorney-General will be required to consider
     all of the defences in section 91.9.

Amendment 66: Schedule 1, item 20, page 41 (lines 3 to 17)


336. This amendment will remove proposed section 93.3, which provides that
     the Attorney-General may sign an evidentiary certificate stating any
     of the following matters in relation to information or an article
     identified in the certificate:

         . the information or article has, or had at a specified time, a
           security classification

         . the information or article has, or had at a specified time, a
           specified level of security classification

         . the information or article concerns Australia's national
           security

         . the information or article concerns a particular specified
           aspect of Australia's national security.

337. This evidentiary certificate regime will be replaced by a requirement
     that the Attorney-General, when consenting to a prosecution consistent
     with new subsection 93.1(1) inserted by Amendment 62, will be required
     to certify that it was appropriate that the information or article had
     a security classification (as defined in section 90.5).  The Attorney-
     General's certification will have no evidentiary effect.

338. This amendment partially implements Recommendation 11 (to the extent
     that it recommends removing the evidentiary certificate regime in
     section 93.3) and Recommendation 12 of the PJCIS Report.

Amendment 67: Schedule 1, item 21, page 42 (line 13)


339. This amendment will make a minor amendment to remove the duplicate
     reference to 'article' in amending section 94.1 of the Criminal Code.
     The existing amendment (see item 21 of Schedule 1 of the Bill) would
     have resulted in section 94.1 reading: 'A sketch, article, record,
     document or other article dealt with in contravention of this Part is
     forfeited to the Commonwealth'.

340. This amendment will remove the duplicate reference to 'or other
     article'.

341. This amendment implements Recommendation 60 of the PJCIS report to
     make minor changes that ensure clarity.

Amendment 68: Schedule 1, item 22, page 43 (lines 6 and 7)


342. This amendment will remove new subsection 132.8A(3) which provides
     that section 15.4 (extended geographical jurisdiction-category D)
     applies to an offence against section 132.8A (Damaging Commonwealth
     property).  This is unnecessary because the new offence will be
     located in Division 132 of the Criminal Code and existing section
     132.9 of the Criminal Code applies section 15.4 (extended geographical
     jurisdiction-category D) to all offences in Division 132.

343. Proposed subsection 132.8A is therefore unnecessary as it entirely
     duplicates section 132.9.

Amendment 69: Schedule 1, item 24, page 43 (before line 13)


344. This amendment will insert a definition of Australian Government
     security clearance into the Dictionary to the Criminal Code.

345. The definition will provide that Australian Government security
     clearance means a security clearance given by the Australian
     Government Security Vetting Agency or by another Commonwealth, State
     or Territory agency that is authorised or approved by the Commonwealth
     to issue security clearances.

346. This amendment implements Recommendation 7 of the PJCIS report.

Amendment 70: Schedule 1, item 28, page 45 (line 15)


347. This amendment will have the effect of carving out the offence at
     section 83.4 of the Criminal Code (interference with political rights
     and duties) from the definition of national security offence in
     section 3 of the Australian Citizenship Act 2007.

348. Including the offence at section 83.4 in the definition would require
     the Minister for Home Affairs to refuse a citizenship application in
     certain circumstances if the person has been convicted of the
     offences. This amendment carves out the offence at section 83.4 to
     minimise inconsistency with Australia's obligations under the 1961
     Convention on the Reduction of Statelessness, which provides that
     member states shall grant nationality to a person who would otherwise
     be stateless if, among other conditions, the person has not been
     convicted of an offence against national security. There is a risk
     that the offence of 'interference with political rights and duties'
     may be regarded as not being sufficiently connected to national
     security in every case.

349. The remaining offences in Part 5.1 of the Criminal Code are
     sufficiently connected to national security and will continue to fall
     within the definition of national security offence in section 3 of the
     Australian Citizenship Act.

350. This implements Recommendation 54 of the PJCIS report.

Amendment 71: Schedule 1, item 29, page 45 (line 25)


351. This amendment will carve out the offence at section 82.9 of the
     Criminal Code (preparing for or planning a sabotage offence) from
     section 35A of the Australian Citizenship Act.  Section 35A empowers
     the Minister to determine in writing that a person ceases to be an
     Australian citizen if, amongst other things, they are convicted of one
     or more of the offences set out in the section.

352. Item 29 of the Bill provides the offences in Division 82 of the
     Criminal Code (sabotage) as offences in relation to which section 35A
     of the Australian Citizenship Act applies. This amendment carves out
     the offence at section 82.9 (preparing for or planning a sabotage
     offence) so that a conviction in relation to that offence is not a
     conviction that could empower the Minister to determine that the
     convicted person ceased to be an Australian citizen under section 35A.
     The offences which fall within the scope of section 35A are those that
     evince a serious threat to Australia and Australia's interests. The
     offence at section 82.9 is a preparatory offence and is not
     sufficiently connected to national security to fall within the scope
     of section 35A.

353. This implements Recommendation 53 of the PJCIS report.

Amendment 72: Schedule 1, item 29, page 45 (after line 27)


354. This amendment will have the effect of inserting a reference to
     Division 92 of the Criminal Code (foreign interference) offences in
     paragraph 35A(1)(a) of the Australian Citizenship Act 2007. This will
     mean that Division 92 (foreign interference) offences will fall within
     the scope of section 35A.

355. Section 35A of the Australian Citizenship Act provides that the
     Minister may determine in writing that a person ceases to be an
     Australian citizen where the person has a conviction or convictions
     against the specified list of offences and has been sentenced to a
     period of imprisonment of at least six years, or periods of
     imprisonment that total at least six years, and the person is a
     national or citizen of a country other than Australia at the time when
     the Minister makes the determination, and the Minister is satisfied
     that:

         . the conduct of the person to which the conviction or convictions
           relate demonstrates  that the person has repudiated their
           allegiance to Australia, and

         . it is not in the public interest for the person to remain an
           Australian citizen.

356. In determining whether it is not in the public interest for the person
     to remain an Australian citizen the Minister is to have regard to the
     following factors:

         . the severity of the conduct that was the basis of the conviction
           or convictions and the sentence or sentences

         . the degree of threat posed by the person to the Australian
           community

         . the age of the person

         . if the person is aged under 18-the best interests of the child
           as a primary consideration

         . the person's connection to the other country of which the person
           is a national or citizen and the availability of the rights of
           citizenship of that country to the person

         . Australia's international relations, and

         . any other matters of public interest.

357. The offences specified in section 35A are those that prima facie
     indicate that a person has acted contrary to his or her allegiance to
     Australia for example, offences involving terrorism and/or other
     serious threats to Australia and Australia's interests. The foreign
     interference offences in Division 92 are also of this nature and the
     PJCIS has recommended that they fall within the scope of 35A.

358. This implements Recommendation 53 of the PJCIS report.

Amendment 73: Schedule 1, item 39, page 47 (lines 16 to 19)


359. This amendment will amend section 15AA of the Crimes Act so that a
     presumption against bail applies for an offence against subsections
     92.2(1) or 92.3(1) (intentional or reckless offence of foreign
     interference) if:

         . the death of a person is alleged to have been caused by conduct
           that is a physical element of the offence, or

         . conduct that is a physical element of the offence carried a
           substantial risk of causing the death of a person.

360. The existing wording of the amendment had the effect of applying the
     presumption against bail if the conduct of the defendant involved
     making a threat to cause serious harm or a demand with menaces.

361. This amendment will ensure that the presumption against bail is only
     applied in the most serious circumstances. This is also consistent
     with the approach of limiting the presumption against bail in
     treachery and espionage offences to cases where the conduct causes the
     death of a person or a substantial risk of death.

362. This amendment implements Recommendation 56 of the PJCIS report.

Amendment 74: Schedule 1, page 48 (after line 29)


363. This amendment will remove the reference to Division 91 (espionage)
     from paragraph 19AG(1)(c) of the Crimes Act, which deals with minimum
     non-parole periods, and insert a new paragraph 19AG(1)(d) which
     applies the minimum non-parole period to an offence against new
     subsections 91.1(1) or 91.2(1) of the Criminal Code.

364. The PJCIS report states (at paragraphs 10.123 and 10.124):

      The Committee acknowledges the important role the Court plays in
      determining an appropriate sentence for each offender, taking into
      account a range of circumstances including the nature of the offence
      and the offender's personal circumstances. Section 19AG of the Crimes
      Act limits this judicial discretion. The Committee notes that while
      the Bill does not propose to amend section 19AG directly, the Bill
      will extend its operation by expanding the scope of the espionage and
      treachery offences that are subject to it (see Chapters 6 and 9).

      It would be appropriate for the operation of section 19AG to be
      limited to the most serious espionage offences in the Bill.
      Accordingly, the Committee considers that the operation of section
      19AG should be limited to:

               . proposed section 91.1(1)-'dealing with information etc.
                 concerning national security which is or will be made
                 available to a foreign principal', with intention as to
                 national security, and

               . proposed section 91.2(1)- 'dealing with information etc.
                 which is or will be made available to a foreign principal',
                 with intention as to national security.

365. This amendment implements Recommendation 58 of the PJCIS report.

Amendment 75: Schedule 1, page 47 (after line 31)


366. This amendment will amend paragraphs 5(2)(d) and (e) of the Criminal
     Code to replace the reference to 'Part 5.1 (treason, urging violence
     and advocating terrorism or  genocide)' with 'Part 5.1 (treason and
     related offences)' and the reference to 'Part 5.2 (offences relating
     to espionage and similar activities)' with 'Part 5.2 (espionage and
     related offences)'.

367. Subsection 5(2) of the Criminal Code provides that the Minister with
     portfolio responsibility for the Australian Federal Police Act 1979 is
     the rule-maker for regulations made for the purposes of specified
     provisions of the Criminal Code, including Part 5.1 and Part 5.2.

368. As the heading of Part 5.1 will be renamed 'treason and related
     offences' (see Item 1, Schedule 1 of the Bill) and the heading of Part
     5.2 will be renamed 'espionage and related offences' (see Item 9 of
     Schedule 1 of the Bill), the references to the headings of Parts 5.1
     and 5.2 in paragraph 5(2)(d) and (e) of the Criminal Code Act 1995
     will be updated, accordingly.

Amendment 76: Schedule 1, page 48 (after line 19)


369. This amendment will have the effect of replacing the reference to
     subparagraphs 203(1)(c)(i) or (ia) in paragraph 203(1)(iia) of the
     Migration Act 1958 with a reference to subparagraphs 203(1)(c)(ia) or
     (ib).

370. This amendment is consequential to Items 46 and 48 of the Bill which
     will repeal subparagraph 203(1)(c)(i) and insert new subparagraph
     203(1)(c)(ib), respectively.

Amendment 77: Schedule 1, page 48 (after line 26)


371. This amendment will repeal subsection 6(1B) and substitute it with a
     new subsection 6(1B) in the Independent National Security Legislation
     Monitor Act 2010. Existing subsection 6(1B) requires the Independent
     National Security Legislation Monitor (the Monitor) to complete a
     review of certain legislation by 7 September 2017.  This review has
     been completed and existing subsection 6(1B) is therefore no longer
     required.  Subsection 6(1B) will be replaced a new requirement for the
     Monitor to review the operation, effectiveness and implications of
     Division 82 (sabotage), Part 5.2 (espionage and related offences), and
     Part 5.6 (secrecy of information) in Chapter 5 of the Criminal Code.

372. The Monitor must begin the review as soon as practicable after three
     years of the National Security Legislation Amendment (Espionage and
     Foreign Interference) Act receiving Royal Assent.

373. The review must be conducted under paragraph 6(1)(a), which means that
     the outcomes should be reported by the Monitor in an annual report,
     pursuant to section 29 of the Independent National Security
     Legislation Monitor Act 2010.

374. This review mechanism will facilitate examination of the extent to
     which the reforms have achieved the intended goal of strengthening
     espionage, foreign interference, secrecy and related laws while
     maintaining appropriate human rights safeguards. It is appropriate for
     the Monitor to undertake this review and its role is to independently
     review the operation, effectiveness and implications of national
     security and counter-terrorism laws; and consider whether the laws
     contain appropriate protections for individual rights, remain
     proportionate to terrorism or national security threats, and remain
     necessary. In conducting the review the Monitor has access to all
     relevant material, regardless of national security classification, can
     compel answers to questions, and can hold public and private hearings.



375. This amendment implements Recommendation 59 of the PJCIS report.

Amendment 78: Schedule 2, item 6, page 50 (lines 1 to 6)


376. This amendment will omit paragraph (a)(ii) from the definition of
     cause harm to Australia's interests in section 121.1.  The effect of
     this amendment is to remove references to interference with, or
     prejudice to, the prevention, detection, investigation, prosecution or
     punishment of a provision of the Commonwealth law that is subject to a
     civil penalty.

377. Following this amendment, paragraph (a) of the definition of cause
     harm to Australia's interests will only cover interference with, or
     prejudice to, the prevention, detection, investigation, prosecution or
     punishment of a criminal offence against a law of the Commonwealth.

378. This partially implements Recommendation 17 of the PJCIS report, to
     the extent that it recommends removing paragraph (a)(i) of the
     definition of cause harm to Australia's interests.

Amendment 79: Schedule 2, item 6, page 50 (lines 22 to 25)


379. This amendment will remove paragraphs (d) and (e) from the definition
     of cause harm to Australia's interests in section 121.1.  Paragraph
     (d) refers to harm or prejudice Australia's international relations in
     any way other than that covered by paragraph (c), and paragraph (e)
     refers to harm or prejudice relations between the Commonwealth and a
     State or Territory.

380. This implements Recommendation 17 of the PJCIS report, to the extent
     that it recommends removing paragraphs (d) and (e) of the definition
     of cause harm to Australia's interests.

Amendments 80 and 81: Schedule 2, item 6, page 50 (line 26); Schedule 2,
 item 6, page 50 (line 27)


381. These amendments will amend paragraph (f) of the definition of cause
     harm to Australia's interests in section 121.1 to limit it only to
     covering harm or prejudice to the health or safety of the Australian
     public or a section of the Australian public.

382. The existing definition refers more generally to 'the public' or 'a
     section of the public'. These amendments will ensure that this offence
     is limited to conduct which harms the health or safety of the
     Australian public.

383. This implements Recommendation 17 of the PJCIS report, to the extent
     that it recommends clarifying that paragraph (f) applies only to the
     health or safety of the Australian public, or a section of the
     Australian public

Amendment 82: Schedule 2, item 6, page 50 (after line 27)


384. This amendment will insert a new paragraph (g) into the definition of
     cause harm to Australia's interests in section 121.1.  New paragraph
     (g) will cover harm or prejudice the security or defence of Australia.
      This is currently covered by paragraph (b) of the definition of
     inherently harmful information but, given it effectively includes a
     harm-based test, it will be more coherent for it to be moved from the
     definition of inherently harmful information Amendment 87 removes
     paragraph (b) from the definition of inherently harmful information.

385. This amendment implements Recommendation 16 of the PJCIS report.

Amendment 83: Schedule 2, item 6, page 51 (line 4)


386. This amendment explicitly excludes officers or employees of, or
     persons engaged by, the Australian Broadcasting Corporation or the
     Special Broadcasting Service Corporation, from the definition of
     Commonwealth officer in section 121.1.

387. This amendment is required to put it beyond doubt that persons
     employed by the ABC or SBS are not considered to be Commonwealth
     officers for the purposes of the general secrecy offences in Schedule
     2.  The effect of this amendment is that persons employed by the ABC
     and SBS will be covered by the new secrecy offence applying to non-
     Commonwealth officers at section 122.4A (to be inserted by Amendment
     127) rather than the secrecy offences at sections 122.1, 122.2, 122.3
     and 122.4.

388. This appropriately recognises that members of the ABC and SBS, while
     being public employees, are engaged primarily in journalism and
     communications activities.

Amendments 84 and 85: Schedule 2, item 6, page 51 (line 5 and after line 5)




389. These amendments will ensure that the definition of deal in section
     121.1 has the same meaning as that provided for in Part 5.2 of the
     Criminal Code, as proposed in Schedule 1 of the Bill, rather than only
     the meaning set out in subsection 90.1(1) of the Criminal Code.

390. The definition of deal is primarily covered by subsection 90.1(1).
     However, subsection 90.1(2) clarifies that dealing with information or
     an article includes dealing with all or part of the information or
     article and dealing only with the substance, effect or description of
     the information or article. In addition, Amendment 25 inserts a
     definition of make available, which forms part of the definition of
     deal as it further defines a term used in subsection 90.1(1).

391. The purpose of Amendment 84 is to ensure all aspects of the definition
     of deal, wherever they are located in Part 5.2, will be part of the
     definition of deal for the purpose of the offences in Division 122.

392. Amendment 85 will add a note at the end of this definition, directing
     the reader to the definitions of deals in subsections 90.1(1) and (2).
      This is intended to provide clarity and assist the reader to locate
     the relevant parts of the definition in Part 5.2.

Amendment 86: Schedule 2, item 6, page 51 (after line 12)


393. This amendment inserts a definition of foreign military organisation
     into subsection 121.1(1).  Foreign military organisation will be
     defined to mean:

         . the armed forces of the government of a foreign country

         . the civilian component of:

               o  the Department of State of a foreign country or

               o a government agency in a foreign country

           that is responsible for the defence of the country.

394. The new definition is used in subsection 122.5(7) (as amended by
     Amendment 142), which sets out a range of exclusions to the defence
     for persons engaged in reporting news contained in
     subsection 122.5(6).  Amendment 142 amends subsection 122.5(7) to
     provide that a person may not reasonably believe that dealing with or
     holding information is in the public interest if this is done for the
     purpose of directly or indirectly assisting a foreign intelligence
     agency or a foreign military organisation.

395. The definition of a foreign military organisation will include the
     armed forces of a foreign country as well as the civilian components
     of its military organisation.  For example, in the Australian context
     this would include the Australian Defence Force, the civilian element
     of the Department of Defence, Reserves and any civilians who are
     accompanying the ADF overseas.

396. Foreign country is intended to cover countries other than Australia
     and is defined in the Dictionary to the Criminal Code as including:

         . a colony or overseas territory

         . a territory outside Australia, where a foreign country is to any
           extent responsible for the international relations of the
           territory, and

         . a territory outside Australia that is, to some extent self-
           governing, but that is not recognised  as an independent
           sovereign state by Australia.

397. This amendment implements Recommendation 27 of the PJCIS Report, to
     the extent that it recommends adopting the amendments to subsection
     122.5(7) proposed by the Attorney-General in his submission to the
     PJCIS inquiry (submissions 40 and 40.1).

Amendment 87: Schedule 2, item 6, page 51 (lines 17 to 19)


398. This amendment will remove paragraph (b) from the definition of
     inherently harmful information in section 121.1.  Paragraph (b) refers
     to information the communication of which would, or could reasonably
     be expected to, damage the security or defence of Australia.

399. Amendment 82 inserts reference to information the communication of
     which would, or could reasonably be expected to, damage the security
     or defence of Australia into new paragraph (g) of the definition of
     cause harm to Australia's interests.

400. This amendment implements Recommendation 16 of the PJCIS report.

Amendment 88: Schedule 2, item 6, page 51 (lines 23 to 26)


401. This amendment will remove paragraph (d) from the definition of
     inherently harmful information in subsection 121.1.  Paragraph (d)
     refers to information that was provided by a person to the
     Commonwealth or an authority of the Commonwealth in order to comply
     with an obligation under a law or otherwise by compulsion of law.

402. This category of information covers a broad range of information, the
     disclosure of some of which should not appropriately attract criminal
     liability. Accordingly, this amendment narrows the scope of the
     definition to exclude this category of information.

403. This amendment implements Recommendation 15 of the PJCIS Report, to
     the extent that it recommends removing paragraph (d) from the
     definition of inherently harmful information.

Amendments 89: Schedule 2, item 6, page 52 (after line 2)


404. This amendment inserts a new definition of security classification
     into section 121.1.  The definition provides that the term security
     classification has the meaning given by section 90.5.  This ensures
     that this term has a consistent meaning across espionage offences (in
     Schedule 1) and secrecy offences (in Schedule 2).

405. Section 90.5 (as amended by these amendments) will define security
     classification to mean:

        . a classification of secret or top secret that is applied in
          accordance with the policy framework developed by the Commonwealth
          for the purpose (or for purposes that include the purpose) of
          identifying information:

               o for a classification of SECRET - that, if disclosed in an
                 unauthorised manner, could be expected to cause serious
                 damage to the national interest, organisations or
                 individuals

               o for a classification of TOP SECRET - that, if disclosed in
                 an unauthorised manner, could be expected to cause
                 exceptionally grave damage to the national interest.

        . any equivalent classification or marking prescribed by the
          regulations.

406. Subsection 90.5(1A) provides that strict liability applies to the
     element that:

         . a classification is applied in accordance with the policy
           framework developed by the Commonwealth for the purpose (or for
           purposes that include the purpose) of identifying the
           information mentioned in subparagraph 90.5(1)(a)(i) or (ii), or

         . a classification or marking was prescribed by regulations as
           mentioned in paragraph 90.5(1)(b).

407. This amendment implements Recommendation 8 of the PJCIS Report, to the
     extent that it recommended that the Bill be amended to define each
     'security classification' to which criminal liability attaches and
     each definition should include harm-based statutory criteria for
     determining the proper classification to apply to that information.
     This amendment also implements Recommendation 9 of the PJCIS report,
     to the extent that it recommended narrowing the definition of
     'security classification' to a classification of SECRET or TOP SECRET
     or equivalent.

Amendments 90: Schedule 2, item 6, page 52 (line 4)


408. This amendment omits the words 'within the meaning of section 90.4'
     from the definition of security classified information in section
     121.1.

409. Amendment 89 inserts a new definition of security classification into
     Division 122 which will be used to interpret the meaning of security
     classified information.  This amendment also has the effect of
     correcting an incorrect reference (security classification is defined
     in section 90.5, not section 90.4).

Amendment 91: Schedule 2, item 6, page 52 (after line 9)


410. This amendment will insert a new subsection 121.1(3) to clarify that
     for the purpose of any references to security classified information
     in Part 5.6 (Secrecy of information), strict liability applies to the
     element that:

         . a classification is applied in accordance with the policy
           framework developed by the Commonwealth for the purpose (or for
           purposes that include the purpose) of identifying the
           information mentioned in subparagraph 90.5(1)(a)(i) or (ii), or

         . a classification or marking was prescribed by regulations as
           mentioned in paragraph 90.5(1)(b).

411. Section 121.1 will include a definition of security classified
     information as meaning information that has a security classification.
     Security classification will be defined as having the meaning given by
     section 90.5. Subsection 121.1(3) substantively replicates
     subsection 90.5(1A) to avoid any doubt about whether that subsection
     is picked up in the definition of security classified information.

412. The effect of applying strict liability is that no fault element needs
     to be proved in relation to those parts of the definition.

413. The prosecution will still be required to prove that the information
     had a classification of TOP SECRET or SECRET or an equivalent
     classification and that the person was reckless as to this.  Section
     5.4 of the Criminal Code provides that a person is reckless with
     respect to:

         . a circumstance if he or she is aware of a substantial risk that
           the circumstance exists or will exist and, having regard to the
           circumstances known to him or her, it is unjustifiable to take
           that risk, and

         . a result if he or she is aware of a substantial risk that the
           result will occur and, having regard to the circumstances known
           to him or her, it is unjustifiable to take the risk.

414. For paragraph 121.1(3)(a), the prosecution will also be required to
     prove that the security classification was applied in accordance with
     the policy framework developed by the Commonwealth for the purpose (or
     for purposes that include the purpose) of identifying information:

         . for a classification of SECRET - that, if disclosed in an
           unauthorised manner, could be expected to cause serious damage
           to the national interest, organisations or individuals

         . for a classification of TOP SECRET - that, if disclosed in an
           unauthorised manner, could be expected to cause exceptionally
           grave damage to the national interest.

415. For paragraph 121.1(3)(a), the prosecution will not be required to
     prove any actual or likely damage to the national interest in relation
     to the information that is the subject of the security classification.



416. The effect of subsection 121.1(3) in applying strict liability to this
     element of the definition of security classification is that the
     prosecution will not need to prove that the person who dealt with the
     information knew or was reckless as to whether the security
     classification was applied in accordance with the policy framework
     developed by the Commonwealth.

417. Strict liability is appropriate for this element because the person's
     state of mind about the fact that the classification was applied under
     an appropriate Commonwealth policy framework for the purpose of
     identifying such information is not relevant to their culpability.  It
     is sufficient for the prosecution to prove that the person was
     reckless as to the fact that the information was classified as SECRET
     or TOP SECRET.  It is not reasonable to expect that a person would be
     familiar with the methods for applying classifications to information,
     nor the exact meaning of the classifications.  There is unlikely to be
     sufficient evidence to allow the prosecution to prove that a person
     was reckless about this level of detail about the policy framework
     sitting behind the application of a classification of SECRET or TOP
     SECRET.

418. For paragraph 121.1(3)(b), the prosecution will need to prove that the
     person was reckless as to the fact that the information had a
     classification equivalent to SECRET or TOP SECRET. However, the effect
     of subsection 121.1(3) is that the prosecution will not need to prove
     that the person who dealt with the information knew or was reckless as
     to the fact that this was prescribed by regulations. Strict liability
     is appropriate for this element because the person's state of mind
     about the fact that the classification was prescribed by regulations
     is not relevant to their culpability. It is sufficient for the
     prosecution to prove that the person was reckless as to the fact that
     the information had a classification equivalent to SECRET or
     TOP SECRET.  It is not reasonable to expect a person to be intimately
     familiar with the method for prescribing equivalent classifications.
     There is unlikely to be sufficient evidence to allow the prosecution
     to prove that a person was reckless about this level of detail about
     the process for prescribing an equivalent classification.

419. Strict liability is set out in section 6.1 of the Criminal Code.  The
     effect of applying strict liability to an element of an offence means
     that no fault element needs to be proved and the defence of mistake of
     fact is available.

420. The defence of mistake of fact is set out in section 9.2 of the
     Criminal Code.  The defence provides that a person is not criminally
     responsible for an offence that includes a physical element to which
     strict liability applies if:

         . at or before the time of the conduct constituting the physical
           element, the person considered whether or not a fact existed,
           and is under a mistaken but reasonable belief about those facts,
           and

         . had those facts existed, the conduct would not have constituted
           an offence.

Amendment 92: Schedule 2, item 6, page 52 (line 17)


421. This amendment will amend subsection 121.2(2) to ensure that if
     regulations are made to prescribe the meaning of proper place of
     custody, those regulations may not apply, adopt or incorporate any
     matter contained in any instrument or other writing unless it is
     publicly available.

422. This will ensure that every person interested in or affected by the
     secrecy offences at subsections 122.1(3) and 122.2(3), which rely on
     the definition of proper place of custody, will be able to readily and
     freely access its terms.

423. This amendment implements Recommendation 18 of the PJCIS report.

Amendment 93: Schedule 2, item 6, page 52 (lines 18 to 28)


424. This amendment will remove proposed section 121.3, which provides that
     the Attorney-General may sign an evidentiary certificate stating that
     the information or thing has, or had at a specified time, a security
     classification and at a specified level.

425. This evidentiary certificate regime will be replaced by a requirement
     that the Attorney-General, when consenting to a prosecution consistent
     with new section 123.5 inserted by Amendment 151), will be required to
     certify that the information or article carried a security
     classification (as defined in section 90.5).  The Attorney-General's
     certification will have no evidentiary effect.

426. This amendment implements Recommendation 11 of the PJCIS Report, to
     the extent that it recommends removing the evidentiary certificate
     regime in section 121.3.

Amendment 94: Schedule 2, item 6, page 53 (line 2)


427. This amendment will omit the current heading of section 122.1 and
     replace it with a new heading - Communication and other dealings with
     inherently harmful information by current and former Commonwealth
     officers.  This reflects that the offences in section 122.1 are being
     amended, consistent with Recommendation 15 of the PJCIS Report, to
     only apply to current and former Commonwealth officers.

Amendment 95: Schedule 2, item 6, page 53 (line 7)


428. This amendment will limit the scope of the offence at subsection
     122.1(1) to communications by a current or former Commonwealth
     officers or persons otherwise engaged to perform work for a
     Commonwealth entity by removing the words 'or any other' from
     paragraph 122.1(1)(c). Without this amendment, the offence would apply
     to any person who communicated inherently harmful information which
     was made or obtained by a Commonwealth officer or person otherwise
     engaged to perform work for a Commonwealth entity.

429. The effect of this amendment is to limit the application of the
     offences only a person who communicates information that was made or
     obtained by that person by reason of that person being, or having
     been, a Commonwealth officer or otherwise engaged to perform work for
     a Commonwealth entity.  This has the effect of limiting the offence
     only to persons who are current or former Commonwealth officers.

430. Following this amendment, paragraph 122.1(1)(c) will require the
     prosecution to prove that the information was made or obtained by that
     person by reason of his or her being, or having been, a Commonwealth
     officer or otherwise engaged to perform work for a Commonwealth
     entity.  The prosecution will also need to prove that the person was
     reckless as to this element.

431. Section 5.4 of the Criminal Code provides that a person is reckless
     with respect to:

         . a circumstance if he or she is aware of a substantial risk that
           the circumstance exists or will exist and, having regard to the
           circumstances known to him or her, it is unjustifiable to take
           that risk, and

         . a result if he or she is aware of a substantial risk that the
           result will occur and, having regard to the circumstances known
           to him or her, it is unjustifiable to take the risk.

432. This amendment implements Recommendation 15 of the PJCIS Report, by
     limiting the offence in subsection 122.1(1) only to current and former
     Commonwealth officers.

Amendments 96 and 97: Schedule 2, item 6, page 53 (line 11 and after line
 11)


433. These amendments will insert an additional Note 2 under subsection
     122.1(1) clarifying that the fault elements for this offence are
     intention for paragraph (1)(a) and recklessness for paragraphs (1)(b)
     and (c).

434. Amendment 96 inserts 'Note 1' in front of the current Note under
     subsection 122.1(1) to reflect that a section note is being inserted.

435. Amendment 97 will insert new Note 2 under subsection 122.1(1) to
     clarify that the fault elements for this offence are intention for
     paragraph (1)(a) and recklessness for paragraphs (1)(b) and (c).

436. This Note is being included to implement Recommendation 14 of the
     PJCIS Report.  It has no practical effect, as section 5.6 of the
     Criminal Code already applies intention as the automatic fault element
     for the conduct element in paragraph 122.1(1)(a) and recklessness as
     the automatic fault element applying to the circumstance elements in
     paragraphs 122.1(1)(b) and (c).

437. The inclusion of this Note carries no implication that section 5.6 of
     the Criminal Code is ineffective in applying the relevant fault
     elements.  It is intended only to provide clarity to the reader.

Amendment 98: Schedule 2, item 6, page 53 (line 12)


438. This amendment lowers the maximum penalty for the offence at
     subsection 122.1(1) from 15 years' imprisonment to seven years'
     imprisonment. This implements Recommendation 34 of the PJCIS Report.

439. The justification for the lower penalty is that it will align with the
     maximum penalties for the secrecy offences in the Intelligence
     Services Act 2001. It will also be consistent with Recommendation 7-4
     of the Australian Law Reform Commission Report 112 'Secrecy Laws and
     Open Government in Australia' that the general secrecy offence should
     stipulate a maximum penalty of seven years' imprisonment, a pecuniary
     penalty not exceeding 420 penalty units, or both.

Amendment 99: Schedule 2, item 6, page 53 (line 18)


440. This amendment will limit the scope of the offence at subsection
     122.1(2) to dealings by a current or former Commonwealth officers or
     persons otherwise engaged to perform work for a Commonwealth entity by
     removing the words 'or any other' from paragraph 122.1(2)(c). Without
     this amendment, the offence would apply to any person who dealt with
     inherently harmful information (other than by communicating it) where
     the information was made or obtained by a Commonwealth officer or
     person otherwise engaged to perform work for a Commonwealth entity.

441. The effect of this amendment is to limit the application of the
     offences only a person who deals with information that was made or
     obtained by that person by reason of that person being, or having
     been, a Commonwealth officer or otherwise engaged to perform work for
     a Commonwealth entity.  This has the effect of limiting the offence
     only to persons who are current or former Commonwealth officers.

442. Following this amendments, paragraph 122.1(2)(c) will require the
     prosecution to prove that the information was made or obtained by that
     person by reason of his or her being, or having been, a Commonwealth
     officer or otherwise engaged to perform work for a Commonwealth
     entity.  The prosecution will also need to prove that the person was
     reckless as to this element.

443. Section 5.4 of the Criminal Code provides that a person is reckless
     with respect to:

         . a circumstance if he or she is aware of a substantial risk that
           the circumstance exists or will exist and, having regard to the
           circumstances known to him or her, it is unjustifiable to take
           that risk, and

         . a result if he or she is aware of a substantial risk that the
           result will occur and, having regard to the circumstances known
           to him or her, it is unjustifiable to take the risk.

444. This amendment implements Recommendation 15 of the PJCIS Report, by
     limiting the offence in subsection 122.2(2) only to current and former
     Commonwealth officers.

Amendment 100: Schedule 2, item 6, page 53 (before line 21)


445. This amendment will insert a new Note under subsection 121.1(2) to
     clarify that the fault elements for this offence are intention for
     paragraph (2)(a) and recklessness for paragraphs (2)(b) and (c).

446. This Note is being included to implement Recommendation 14 of the
     PJCIS Report.  It has no practical effect, as section 5.6 of the
     Criminal Code already applies intention as the automatic fault element
     for the conduct element in paragraph 122.1(2)(a) and recklessness as
     the automatic fault element applying to the circumstance elements in
     paragraphs 122.1(2)(b) and (c).

447. The inclusion of this Note carries no implication that section 5.6 of
     the Criminal Code is ineffective in applying the relevant fault
     elements.  It is intended only to provide clarity to the reader.

Amendment 101: Schedule 2, item 6, page 53 (line 22)


448. This amendment lowers the maximum penalty for the offence at
     subsection 122.1(2) from five years' imprisonment to three years'
     imprisonment. This implements Recommendation 34 of the PJCIS Report.

449. As the maximum penalty for the more serious offence of communicating
     inherently harmful information in subsection 122.1(1) has been reduced
     to seven years, the PJCIS concluded (at paragraph 5.143) that:

      As a result, the penalties for the dealing offences should also be
      reduced to three years' imprisonment, to maintain the current
      structure of the secrecy offences.

Amendment 102: Schedule 2, item 6, page 54 (line 1)


450. This amendment will limit the scope of the offence at subsection
     122.1(3) to dealings by a current or former Commonwealth officers or
     persons otherwise engaged to perform work for a Commonwealth entity by
     removing the words 'or any other' from paragraph 122.1(3)(c). Without
     this amendment, the offence would apply to any person who removed
     information from, or held information outside, a proper place of
     custody, where the inherently harmful information was made or obtained
     by a Commonwealth officer or person otherwise engaged to perform work
     for a Commonwealth entity.

451. The effect of this amendment is to limit the application of the
     offences only a person who deals with information that was made or
     obtained by that person by reason of that person being, or having
     been, a Commonwealth officer or otherwise engaged to perform work for
     a Commonwealth entity.  This has the effect of limiting the offence
     only to persons who are current or former Commonwealth officers.

452. Following this amendment, paragraph 122.1(3)(c) will require the
     prosecution to prove that the information was made or obtained by that
     person by reason of his or her being, or having been, a Commonwealth
     officer or otherwise engaged to perform work for a Commonwealth
     entity.  The prosecution will also need to prove that the person was
     reckless as to this element.

453. Section 5.4 of the Criminal Code provides that a person is reckless
     with respect to:

         . a circumstance if he or she is aware of a substantial risk that
           the circumstance exists or will exist and, having regard to the
           circumstances known to him or her, it is unjustifiable to take
           that risk, and

         . a result if he or she is aware of a substantial risk that the
           result will occur and, having regard to the circumstances known
           to him or her, it is unjustifiable to take the risk.

454. This amendment implements Recommendation 15 of the PJCIS Report, by
     limiting the offence in subsection 122.1(3) only to current and former
     Commonwealth officers.

Amendment 103: Schedule 2, item 6, page 54 (before line 5)


455. This amendment will insert a new Note under subsection 122.1(3) to
     clarify that the fault elements for this offence are intention for
     paragraph (3)(a) and recklessness for paragraphs (3)(b) and (c).

456. This Note is being included to implement Recommendation 14 of the
     PJCIS Report.  It has no practical effect, as section 5.6 of the
     Criminal Code already applies intention as the automatic fault element
     for the conduct element in paragraph 122.1(3)(a) and recklessness as
     the automatic fault element applying to the circumstance elements in
     paragraphs 122.1(3)(b) and (c).

457. The inclusion of this Note carries no implication that section 5.6 of
     the Criminal Code is ineffective in applying the relevant fault
     elements.  It is intended only to provide clarity to the reader.

Amendment 104: Schedule 2, item 6, page 54 (line 5)


458. This amendment lowers the maximum penalty for the offence at
     subsection 122.1(3) from five years' imprisonment to three years'
     imprisonment. This implements Recommendation 34 of the PJCIS Report.

459. As the maximum penalty for the more serious offence of communicating
     inherently harmful information in subsection 122.1(1) has been reduced
     to seven years, the PJCIS concluded (at paragraph 5.143) that:

      As a result, the penalties for the dealing offences should also be
      reduced to three years' imprisonment, to maintain the current
      structure of the secrecy offences.

Amendment 105: Schedule 2, item 6, page 54 (after line 11)


460. This amendment will insert an additional element into subsection
     122.1(4), which creates an offence of failing to comply with a lawful
     direction regarding the retention, use, or disposal of inherently
     harmful information.

461. The additional element at paragraph 122.1(4)(ca) will provide that the
     failure to comply with that direction results in a risk to the
     security of the information. This will ensure that criminal liability
     is limited to circumstances where the security of the information is
     placed at risk, and does not cover circumstances where a person has
     failed to comply with a direction but without any risk to security.
     This element will not be satisfied if a lawful direction is issued for
     the purpose of convenience, not to protect the security of the
     information.  For example, if a person is lawfully directed to place
     documents in an appropriately secure filing cabinet next to the
     directing person's office to allow convenient access, however the
     person instead places the documents in a different (but still
     appropriately secure) filing cabinet, this will not fall within the
     scope of the offence as it related to the directing person's desire to
     have easy access to the document rather than to protect the security
     of the information.

462. Conversely, if a person is lawfully directed to place a classified
     document in a filing cabinet in a secure room but the person instead
     leaves it in their desk drawer, this would place the security of the
     information at risk and would fall within new paragraph 122.1(4).

463. The fault element of recklessness will apply to the physical element
     in paragraph 122.4(1)(ca).  Section 5.4 of the Criminal Code provides
     that a person is reckless with respect to:

         . a circumstance if he or she is aware of a substantial risk that
           the circumstance exists or will exist and, having regard to the
           circumstances known to him or her, it is unjustifiable to take
           that risk, and

         . a result if he or she is aware of a substantial risk that the
           result will occur and, having regard to the circumstances known
           to him or her, it is unjustifiable to take the risk.

464. This amendment implements Recommendation 19 of the PJCIS report.

Amendment 106: Schedule 2, item 6, page 54 (line 13)


465. This amendment will limit the scope of the offence at subsection
     122.1(4) to dealings by a current or former Commonwealth officers or
     persons otherwise engaged to perform work for a Commonwealth entity by
     removing the words 'or any other' from paragraph 122.1(4)(e). Without
     this amendment, the offence would apply to any person who failed to
     comply with a lawful direction about inherently harmful information
     that was made or obtained by a Commonwealth officer or person
     otherwise engaged to perform work for a Commonwealth entity.

466. The effect of this amendment is to limit the application of the
     offences only a person who deals with information that was made or
     obtained by that person by reason of that person being, or having
     been, a Commonwealth officer or otherwise engaged to perform work for
     a Commonwealth entity.  This has the effect of limiting the offence
     only to persons who are current or former Commonwealth officers.

467. Following this amendment, paragraph 122.1(4)(e) will require the
     prosecution to prove that the information was made or obtained by that
     person by reason of his or her being, or having been, a Commonwealth
     officer or otherwise engaged to perform work for a Commonwealth
     entity.  The prosecution will also need to prove that the person was
     reckless as to this element.

468. Section 5.4 of the Criminal Code provides that a person is reckless
     with respect to:

         . a circumstance if he or she is aware of a substantial risk that
           the circumstance exists or will exist and, having regard to the
           circumstances known to him or her, it is unjustifiable to take
           that risk, and

         . a result if he or she is aware of a substantial risk that the
           result will occur and, having regard to the circumstances known
           to him or her, it is unjustifiable to take the risk.

469. This amendment implements Recommendation 15 of the PJCIS Report, by
     limiting the offence in subsection 122.1(4) only to current and former
     Commonwealth officers.

Amendment 107: Schedule 2, item 6, page 54 (before line 17)


470. This amendment will insert a new Note under subsection 122.1(4) to
     clarify that the fault elements for this offence are intention for
     paragraphs (4)(a) and (c) and recklessness for paragraphs (4)(b),
     (ca), (d) and (e).

471. This Note is being included to implement Recommendation 14 of the
     PJCIS Report.  It has no practical effect, as section 5.6 of the
     Criminal Code already applies intention as the automatic fault element
     for the conduct element in paragraphs 122.1(4)(a) and (c),
     recklessness as the automatic fault element applying to the
     circumstance elements in paragraphs 122.1(4)(b), (d) and (e) and
     recklessness as the automatic fault element applying to the result
     element in paragraph 122.1(4)(ca).

472. The inclusion of this Note carries no implication that section 5.6 of
     the Criminal Code is ineffective in applying the relevant fault
     elements.  It is intended only to provide clarity to the reader.

Amendment 108: Schedule 2, item 6, page 54 (line 17)


473. This amendment lowers the maximum penalty for the offence at
     subsection 122.1(4) from five years' imprisonment to three years'
     imprisonment. This implements Recommendation 34 of the PJCIS Report.

474. As the maximum penalty for the more serious offence of communicating
     inherently harmful information in subsection 122.1(1) has been reduced
     to seven years, the PJCIS concluded (at paragraph 5.143) that:

      As a result, the penalties for the dealing offences should also be
      reduced to three years' imprisonment, to maintain the current
      structure of the secrecy offences.

Amendment 109: Schedule 2, item 6, page 54 (lines 18 and 19)


475. This amendment will remove subsection 122.1(5).  The effect of this
     amendment is that strict liability will no longer apply to the
     elements of the offences in section 122.1 that information is security
     classified information.  This amendment responds to Recommendation 9
     of the PJCIS report, which recommends removing strict liability from
     espionage and secrecy offences.

476. For paragraphs 122.1(1)(b), 122.2(1)(b), 122.2(3)(b) and 122.1(4)(d),
     the prosecution will have to prove that the information had a security
     classification.  Security classification is defined in subsection
     121.1(1) and section 90.5, as amended by Amendments 31, 32 and 33.

477. The effect of this amendment is that the prosecution will need to
     prove that the defendant is reckless as to the element of the offence
     at paragraphs 122.1(1)(b), 122.2(1)(b), 122.2(3)(b) and 122.1(4)(d).

478. Consistent with new subsection 121.1(3), strict liability will apply
     to some aspects of the definition of security classification.
     Subsection 121.1(3) provides that strict liability applies to the
     element that:

         . a classification is applied in accordance with the policy
           framework developed by the Commonwealth for the purpose (or for
           purposes that include the purpose) of identifying the
           information mentioned in subparagraph 90.5(1)(a)(i) or (ii), or

         . a classification or marking was prescribed by regulations as
           mentioned in paragraph 90.5(1)(b).

479. The effect of applying strict liability is that no fault element needs
     to be proved in relation to those parts of the definition.

480. The prosecution will still be required to prove that the information
     had a classification of TOP SECRET or SECRET or an equivalent
     classification and that the person was reckless as to this.  Section
     5.4 of the Criminal Code provides that a person is reckless with
     respect to:

         . a circumstance if he or she is aware of a substantial risk that
           the circumstance exists or will exist and, having regard to the
           circumstances known to him or her, it is unjustifiable to take
           that risk, and

         . a result if he or she is aware of a substantial risk that the
           result will occur and, having regard to the circumstances known
           to him or her, it is unjustifiable to take the risk.

481. Strict liability is set out in section 6.1 of the Criminal Code.  The
     effect of applying strict liability to an element of an offence means
     that no fault element needs to be proved and the defence of mistake of
     fact is available.

482. The defence of mistake of fact is set out in section 9.2 of the
     Criminal Code.  The defence provides that a person is not criminally
     responsible for an offence that includes a physical element to which
     strict liability applies if:

         . at or before the time of the conduct constituting the physical
           element, the person considered whether or not a fact existed,
           and is under a mistaken but reasonable belief about those facts,
           and

         . had those facts existed, the conduct would not have constituted
           an offence.

Amendment 110: Schedule 2, item 6, page 54 (line 20)


483. This amendment will omit the current heading of section 122.2 and
     replace it with a new heading - Conduct by current and former
     Commonwealth officers etc. causing harm to Australia's interests.
     This reflects that the offences in section 122.2 are being amended,
     consistent with Recommendation 17 of the PJCIS Report, to only apply
     to current and former Commonwealth officers.

Amendment 111: Schedule 2, item 6, page 54 (line 29)


484. This amendment will limit the scope of the offence at subsection
     122.2(1) to communications by a current or former Commonwealth
     officers or persons otherwise engaged to perform work for a
     Commonwealth entity by removing the words 'or any other' from
     paragraph 122.2(1)(c). Without this amendment, the offence would apply
     to any person who communicated information where the communication
     does, will or is likely to cause harm to Australia's interests and the
     information was made or obtained by a Commonwealth officer or person
     otherwise engaged to perform work for a Commonwealth entity.

485. The effect of this amendment is to limit the application of the
     offences only a person who deals with information that was made or
     obtained by that person by reason of that person being, or having
     been, a Commonwealth officer or otherwise engaged to perform work for
     a Commonwealth entity.  This has the effect of limiting the offence
     only to persons who are current or former Commonwealth officers.

486. Following this amendment, paragraph 122.2(1)(c) will require the
     prosecution to prove that the information was made or obtained by that
     person by reason of his or her being, or having been, a Commonwealth
     officer or otherwise engaged to perform work for a Commonwealth
     entity.  The prosecution will also need to prove that the person was
     reckless as to this element.

487. Section 5.4 of the Criminal Code provides that a person is reckless
     with respect to:

         . a circumstance if he or she is aware of a substantial risk that
           the circumstance exists or will exist and, having regard to the
           circumstances known to him or her, it is unjustifiable to take
           that risk, and

         . a result if he or she is aware of a substantial risk that the
           result will occur and, having regard to the circumstances known
           to him or her, it is unjustifiable to take the risk.

488. This amendment implements Recommendation 15 of the PJCIS Report, by
     limiting the offence in subsection 122.2(1) only to current and former
     Commonwealth officers.

Amendment 112: Schedule 2, item 6, page 55 (line 4)


489. This amendment lowers the maximum penalty for the offence at
     subsection 122.2(1) from 15 years' imprisonment to seven years'
     imprisonment. This implements Recommendation 34 of the PJCIS Report.

490. The justification for the lower penalty is that it will align with the
     maximum penalties for the secrecy offences in the Intelligence
     Services Act 2001. It will also be consistent with Recommendation 7-4
     of the Australian Law Reform Commission Report 112 'Secrecy Laws and
     Open Government in Australia' that the general secrecy offence should
     stipulate a maximum penalty of seven years' imprisonment, a pecuniary
     penalty not exceeding 420 penalty units, or both.

Amendment 113: Schedule 2, item 6, page 55 (line 13)


491. This amendment will limit the scope of the offence at subsection
     122.2(2) to dealings by a current or former Commonwealth officers or
     persons otherwise engaged to perform work for a Commonwealth entity by
     removing the words 'or any other' from paragraph 122.2(2)(c). Without
     this amendment, the offence would apply to any person who deals with
     information (other than by communicating it) where the dealing does,
     will or is likely to cause harm to Australia's interests and the
     information was made or obtained by a Commonwealth officer or person
     otherwise engaged to perform work for a Commonwealth entity.

492. The effect of this amendment is to limit the application of the
     offences only a person who deals with information that was made or
     obtained by that person by reason of that person being, or having
     been, a Commonwealth officer or otherwise engaged to perform work for
     a Commonwealth entity.  This has the effect of limiting the offence
     only to persons who are current or former Commonwealth officers.

493. Following this amendment, paragraph 122.2(2)(c) will require the
     prosecution to prove that the information was made or obtained by that
     person by reason of his or her being, or having been, a Commonwealth
     officer or otherwise engaged to perform work for a Commonwealth
     entity.  The prosecution will also need to prove that the person was
     reckless as to this element.

494. Section 5.4 of the Criminal Code provides that a person is reckless
     with respect to:

         . a circumstance if he or she is aware of a substantial risk that
           the circumstance exists or will exist and, having regard to the
           circumstances known to him or her, it is unjustifiable to take
           that risk, and

         . a result if he or she is aware of a substantial risk that the
           result will occur and, having regard to the circumstances known
           to him or her, it is unjustifiable to take the risk.

495. This amendment implements Recommendation 15 of the PJCIS Report, by
     limiting the offence in subsection 122.1(2) only to current and former
     Commonwealth officers.

Amendment 114: Schedule 2, item 6, page 55 (line 17)


496. This amendment lowers the maximum penalty for the offence at
     subsection 122.2(2) from five years' imprisonment to three years'
     imprisonment. This implements Recommendation 34 of the PJCIS Report.

497. As the maximum penalty for the more serious offence of communicating
     information where the communication does, will or could reasonably be
     expected to cause harm to Australia's interests in subsection 122.2(1)
     has been reduced to seven years, the PJCIS concluded (at paragraph
     5.143) that:

      As a result, the penalties for the dealing offences should also be
      reduced to three years' imprisonment, to maintain the current
      structure of the secrecy offences.

Amendment 115: Schedule 2, item 6, page 55 (line 31)


498. This amendment will limit the scope of the offence at subsection
     122.2(3) to removal or holding of information outside a proper place
     of custody by current or former Commonwealth officers or persons
     otherwise engaged to perform work for a Commonwealth entity. Without
     this amendment, the offence would apply to any person who removes
     information from, or holds information outside, a proper place of
     custody where that conduct does, will or is likely to cause harm to
     Australia's interests and the information was made or obtained by a
     Commonwealth officer or person otherwise engaged to perform work for a
     Commonwealth entity.

499. The effect of this amendment is to limit the application of the
     offences only a person who deals with information that was made or
     obtained by that person by reason of that person being, or having
     been, a Commonwealth officer or otherwise engaged to perform work for
     a Commonwealth entity.  This has the effect of limiting the offence
     only to persons who are current or former Commonwealth officers.

500. Following this amendment, paragraph 122.2(3)(c) will require the
     prosecution to prove that the information was made or obtained by that
     person by reason of his or her being, or having been, a Commonwealth
     officer or otherwise engaged to perform work for a Commonwealth
     entity.  The prosecution will also need to prove that the person was
     reckless as to this element.

501. Section 5.4 of the Criminal Code provides that a person is reckless
     with respect to:

         . a circumstance if he or she is aware of a substantial risk that
           the circumstance exists or will exist and, having regard to the
           circumstances known to him or her, it is unjustifiable to take
           that risk, and

         . a result if he or she is aware of a substantial risk that the
           result will occur and, having regard to the circumstances known
           to him or her, it is unjustifiable to take the risk.

502. This amendment implements Recommendation 15 of the PJCIS Report, by
     limiting the offence in subsection 122.2(3) only to current and former
     Commonwealth officers.

Amendment 116: Schedule 2, item 6, page 56 (line 1)


503. This amendment lowers the maximum penalty for the offence at
     subsection 122.2(3) from five years' imprisonment to three years'
     imprisonment. This implements Recommendation 34 of the PJCIS Report.

504. As the maximum penalty for the more serious offence of communicating
     information where the communication does, will or could reasonably be
     expected to cause harm to Australia's interests in subsection 122.2(1)
     has been reduced to seven years, the PJCIS concluded (at paragraph
     5.143) that:

      As a result, the penalties for the dealing offences should also be
      reduced to three years' imprisonment, to maintain the current
      structure of the secrecy offences.

Amendment 117: Schedule 2, item 6, page 56 (line 13)


505. This amendment will limit the scope of the offence at subsection
     122.2(4) to dealings by a current or former Commonwealth officers or
     persons otherwise engaged to perform work for a Commonwealth entity by
     removing the words 'or any other' from paragraph 122.2(4)(e). Without
     this amendment, the offence would apply to any person who failed to
     comply with a lawful direction about information that was made or
     obtained by a Commonwealth officer or person otherwise engaged to
     perform work for a Commonwealth entity where the failure to comply
     with the direction does, will or could reasonably be expected to cause
     harm to Australia's interests.

506. The effect of this amendment is to limit the application of the
     offences only a person who deals with information that was made or
     obtained by that person by reason of that person being, or having
     been, a Commonwealth officer or otherwise engaged to perform work for
     a Commonwealth entity.  This has the effect of limiting the offence
     only to persons who are current or former Commonwealth officers.

507. Following this amendment, paragraph 122.2(4)(e) will require the
     prosecution to prove that the information was made or obtained by that
     person by reason of his or her being, or having been, a Commonwealth
     officer or otherwise engaged to perform work for a Commonwealth
     entity.  The prosecution will also need to prove that the person was
     reckless as to this element.

508. Section 5.4 of the Criminal Code provides that a person is reckless
     with respect to:

         . a circumstance if he or she is aware of a substantial risk that
           the circumstance exists or will exist and, having regard to the
           circumstances known to him or her, it is unjustifiable to take
           that risk, and

         . a result if he or she is aware of a substantial risk that the
           result will occur and, having regard to the circumstances known
           to him or her, it is unjustifiable to take the risk.

509. This amendment implements Recommendation 15 of the PJCIS Report, by
     limiting the offence in subsection 122.2(4) only to current and former
     Commonwealth officers.

Amendment 118: Schedule 2, item 6, page 56 (line 17)


510. This amendment lowers the maximum penalty for the offence at
     subsection 122.2(4) from five years' imprisonment to three years'
     imprisonment. This implements Recommendation 34 of the PJCIS Report.

511. As the maximum penalty for the more serious offence of communicating
     information where the communication does, will or could reasonably be
     expected to cause harm to Australia's interests in subsection 122.2(1)
     has been reduced to seven years imprisonment, the PJCIS concluded (at
     paragraph 5.143) that:

      As a result, the penalties for the dealing offences should also be
      reduced to three years' imprisonment, to maintain the current
      structure of the secrecy offences.

Amendment 119: Schedule 2, item 6, page 56 (lines 24 to 26)


512. This amendment, which omits subparagraph 122.3(b)(i), is consequential
     to the change to the definition of security classification in section
     90.5 (at Amendment 31), which is now limited only to information
     classified as SECRET or TOP SECRET.  The aggravated secrecy offence at
     section 122.3 currently provides, at subparagraph 122.3(1)(b)(i), that
     it is an aggravating factor if a person deals with information or an
     article that has a security classification of secret or above.

513. The amendments to the definition of security classification has the
     effect of limiting the scope of the offences at 122.1 and 122.2, in
     relation to dealing with security classified material, so that they
     only apply to information or articles classified as SECRET or TOP
     SECRET. Therefore, the aggravating circumstance of dealing with
     information or an article classified secret or above is no longer
     appropriate as Amendment 31 has the effect of making this an element
     of the underlying offence.

Amendment 120: Schedule 2, item 6, page 56 (line 28)


514. This amendment will make a minor technical amendment to remove the
     words 'containing the relevant information' from
     subparagraph 122.3(1)(b)(ii). The phrase 'the relevant information' is
     a tag used in subparagraph 122.3(1)(b)(i), which will be removed by
     Amendment 119.  The removal of these words will have no practical
     impact on the operation of the aggravating factor in subparagraph
     122.3(1)(b)(ii).

Amendment 121: Schedule 2, item 6, page 57 (line 6)


515. This amendment will amend subparagraph 122.3(1)(b)(v) to add the words
     'allowing the person to access information that has a security
     classification of at least secret'.

516. This amendment limits the aggravating circumstance so that it only
     applies where a person holds an Australian Government security
     clearance to persons holding such a clearance allowing access to
     information classified at the level of SECRET or above. In accordance
     with current Commonwealth protective security policies, this means
     that the aggravating factor at subparagraph 122.3(1)(b)(v) would apply
     to persons holding security clearances at the Negative Vetting 1,
     Negative Vetting 2 and Positive Vetting levels.

517. Security clearances allowing access to SECRET and TOP SECRET
     information imports a high level of trust to maintain the security of
     information, and is commensurate with the higher culpability and
     penalty imposed by an aggravating offence.

518. Australian Government security clearance will be defined in the
     Dictionary to the Criminal Code to mean a security clearance given by
     the Australian Government Security Vetting Agency or by another
     Commonwealth, State or Territory agency that is authorised or approved
     by the Commonwealth to issue security clearances.  Amendment 69 will
     insert this definition into the Dictionary.

519. Recklessness will continue to be the fault element applying to the
     aggravating circumstance at subparagraph 122.3(1)(b)(v).  Section 5.4
     of the Criminal Code provides that a person is reckless with respect
     to:

         . a circumstance if he or she is aware of a substantial risk that
           the circumstance exists or will exist and, having regard to the
           circumstances known to him or her, it is unjustifiable to take
           that risk, and

         . a result if he or she is aware of a substantial risk that the
           result will occur and, having regard to the circumstances known
           to him or her, it is unjustifiable to take the risk.

520. This amendment implements Recommendation 20 of the PJCIS Report.

Amendments 122 and 123: Schedule 2, item 6, page 57 (line 9 and line 11)


521. These amendments lower the maximum penalties for the aggravated
     offence at subsection 122.3.  The maximum penalties will now be:

         . 10 years imprisonment - if  the penalty for the underlying
           offence is imprisonment for seven years

         . five years imprisonment - if the penalty for the underlying
           offence is imprisonment for three years

522. This is consequential to the lowering of the penalties for the
     underlying offences in sections 122.1 and 122.2.  This implements
     Recommendation 34 of the PJCIS Report.

Amendment 124: Schedule 2, item 6, page 57 (line 15)


523. This amendment will remove subsection 122.3(3).  The effect of this
     amendment is that strict liability will no longer apply to the element
     that the person dealt with five or more records or articles, each of
     which had a security classification. This amendment implements
     Recommendation 9 of the PJCIS report, which recommends removing strict
     liability from espionage and secrecy offences.

524. The effect of this amendment is that the prosecution will need to
     prove that the defendant is reckless as to the element of the offence
     at subparagraph 122.3(1)(b)(iii) that the person dealt with five or
     more records or articles, each of which had a security classification.
     Section 5.4 of the Criminal Code provides that a person is reckless
     with respect to:

         . a circumstance if he or she is aware of a substantial risk that
           the circumstance exists or will exist and, having regard to the
           circumstances known to him or her, it is unjustifiable to take
           that risk, and

         . a result if he or she is aware of a substantial risk that the
           result will occur and, having regard to the circumstances known
           to him or her, it is unjustifiable to take the risk.

525. For subparagraph, the prosecution will have to prove that the each of
     the records had a security classification.  Security classification is
     defined in section 90.5, as amended by Amendments 31, 32, and 33.

526. The prosecution will be required to prove that the records had a
     classification of TOP SECRET or SECRET or an equivalent classification
     and that the person was reckless as to this.

527. Consistent with new subsection 121.1(3), strict liability will apply
     to some aspects of the definition of security classification.
     Subsection 121.1(3) provides that strict liability applies to the
     element that:

         . a classification is applied in accordance with the policy
           framework developed by the Commonwealth for the purpose (or for
           purposes that include the purpose) of identifying the
           information mentioned in subparagraph 90.5(1)(a)(i) or (ii), or

         . a classification or marking was prescribed by regulations as
           mentioned in paragraph 90.5(1)(b).

528. Strict liability is set out in section 6.1 of the Criminal Code.  The
     effect of applying strict liability to an element of an offence means
     that no fault element needs to be proved and the defence of mistake of
     fact is available.

529. The defence of mistake of fact is set out in section 9.2 of the
     Criminal Code.  The defence provides that a person is not criminally
     responsible for an offence that includes a physical element to which
     strict liability applies if:

         . at or before the time of the conduct constituting the physical
           element, the person considered whether or not a fact existed,
           and is under a mistaken but reasonable belief about those facts,
           and

         . had those facts existed, the conduct would not have constituted
           an offence.

Amendment 125: Schedule 2, item 6, page 57 (lines 23 and 24)


530. This amendment will omit the heading of new section 122.4 and replace
     it with a new heading - Unauthorised disclosure of information by
     current and former Commonwealth officers etc.  This simplifies the
     wording of this heading.

Amendment 126: Schedule 2, item 6, page 58 (after line 1)


531. This amendment will insert new subsection 122.4(3) which provides that
     the section does not apply in relation to any communication of
     information that occurs after the end of five years after the section
     commences.

532. The offence in section 122.4 largely replicates the existing offence
     at section 70 of the Crimes Act.  This offence has been preserved
     until such time as each duty, likely to give rise to criminal
     liability under section 70, can be reviewed to determine whether it
     should be converted into a stand-alone specific secrecy offence, or
     whether criminal liability should be removed. The sunset provision
     will provide for section 122.4 to cease its operation five years after
     commencement of that sunset provision. This will allow for review of
     the duties to determine whether there is an ongoing need to enforce
     them with specific criminal sanctions.

533. Because there will be other references to section 122.4 on the statute
     book that would also need to be repealed, section 122.4 will not be
     repealed by this provision but rather cease its operation.

534. This amendment implements Recommendation 23 of the PJCIS Report.

Amendment 127: Schedule 2, item 6, page 58 (after line 1)


535. This amendment will insert a new section 122.4A titled Communicating
     and dealing with information by non-Commonwealth officers etc.

536. This provision creates new, separate secrecy offences applying to
     persons who are not, and have not previously been, Commonwealth
     officers (as defined in section 121.1).  The offences in section 122.4
     apply to narrower subsets of information and conduct, and attract
     lower maximum penalties than the secrecy offences applying to current
     and former Commonwealth officers at sections 122.1 and 122.2.

537. This recognises that secrecy offences should apply differently to
     Commonwealth and non-Commonwealth officers given the former have a
     higher duty to protect such information, should be well trained in
     security requirements procedures and, in many cases, have security
     clearances.

538. This amendment implements Recommendation 21 of the PJCIS report.



Communicating information

539. Subsection 122.4A(1) creates an offence where a person, who did not
     make or obtain the information by reason of being or having been a
     Commonwealth officer, communicates information that was made or
     obtained by another person who is, or was, a Commonwealth officer and
     any one or more of the following applies:

         . the information has a security classification of secret or top
           secret

         . the communication of the information damages the security or
           defence of Australia

         . the communication of the information interferes with or
           prejudices the prevention, detection, investigation, prosecution
           or punishment of a criminal offence against a law of the
           Commonwealth, or

         . the communication of the information harms or prejudices the
           health or safety of the Australian public or a section of the
           Australian public.

540. This offence will carry a maximum penalty of five years' imprisonment

541. To establish this offence, the prosecution will need to prove beyond
     reasonable doubt that:

         . the person intentionally communicates information

         . the information was not made or obtained by the person by reason
           of the person being, or having been, a Commonwealth officer or
           otherwise engaged to perform work for a Commonwealth entity and
           the person was reckless as to this element

         . the information was made or obtained by another person by reason
           of that other person being, or having been, a Commonwealth
           officer or otherwise engaged to perform work for a Commonwealth
           entity and the person was reckless as to this element, and

         . any one or more of the following applies

               o the information has a security classification of secret or
                 top secret and the person is reckless as to this element
                 (noting that some aspects of the definition carry strict
                 liability, which is explained below)

               o the communication of the information damages the security
                 or defence of Australia and the person is reckless as to
                 this element

               o the communication of the information interferes with or
                 prejudices the prevention, detection, investigation,
                 prosecution or punishment of a criminal offence against a
                 law of the Commonwealth and the person is reckless as to
                 this element, or

               o the communication of the information harms or prejudices
                 the health or safety of the Australian public or a section
                 of the Australian public and the person is reckless as to
                 this element.

542. Section 5.6 of the Criminal Code will apply the automatic fault
     element of intention to paragraph 122.4A(1)(a). Under subsection
     5.2(1) of the Criminal Code, a person has intention with respect to
     conduct if he or she means to engage in that conduct.  Recklessness is
     the fault element for paragraphs 122.4A(1)(b), (c) and (d). Section
     5.4 of the Criminal Code provides that a person is reckless with
     respect to:

         . a circumstance if he or she is aware of a substantial risk that
           the circumstance exists or will exist and, having regard to the
           circumstances known to him or her, it is unjustifiable to take
           that risk, and

         . a result if he or she is aware of a substantial risk that the
           result will occur and, having regard to the circumstances known
           to him or her, it is unjustifiable to take the risk.

543. For paragraph 122.1(1)(a), the prosecution will have to prove beyond a
     reasonable doubt that the person intentionally communicated
     information.

544. The term 'communicates' is taken to include references to 'publishes'
     and 'makes available', consistent with subsection 121.1(2).  It is
     intended to include imparting or transmitting information by any
     means. It is not intended to require, as a rule, proof that the
     information was received by another person, or proof that another
     person read, heard or viewed the information. A person would
     communicate information where, for example, a person sends an email
     containing information, even if the email is not read by another
     person.

545. For paragraph 122.4A(1)(b), the prosecution will have to prove that
     the information was not made or obtained by the person by reason of
     the person being, or having been, a Commonwealth officer or otherwise
     engaged to perform work for a Commonwealth entity.

546. The fault element of recklessness applies to this element.  Therefore,
     the prosecution will be required to prove beyond reasonable doubt that
     the person was aware of a substantial risk that the information was
     not made or obtained by the person by reason of the person being, or
     having been, a Commonwealth officer or otherwise engaged to perform
     work for a Commonwealth entity and having regard to the circumstances
     known to the person, it was unjustifiable to take the risk.

547. For paragraph 122.4A(1)(c), the prosecution will have to prove that
     the information was made or obtained by that or any other person by
     reason of his or her being, or having been, a Commonwealth officer or
     otherwise engaged to perform work for a Commonwealth entity.

548. The fault element of recklessness applies to this element.  Therefore,
     the prosecution will be required to prove beyond reasonable doubt that
     the person was aware of a substantial risk that the information was
     made or obtained by that or any other person by reason of his or her
     being, or having been, a Commonwealth officer or otherwise engaged to
     perform work for a Commonwealth entity and having regard to the
     circumstances known to the person, it was unjustifiable to take the
     risk.

549. For subparagraph 122.4A(1)(d)(i), the prosecution will have to prove
     that the information had a security classification of secret or top
     secret.  Security classification is defined in section 90.5, as
     amended by Amendments 31, 32 and 33.  The reference to information
     carrying a security classification of secret or top secret ensures
     that this offence will only apply where paragraph 90.5(1)(a) applies.
     It will not apply to equivalent classifications prescribed under
     paragraph 90.5(1)(b).

550. The prosecution will be required to prove that the information had a
     classification of TOP SECRET or SECRET or an equivalent classification
     and that the person was reckless as to this.

551. Consistent with new subsection 121.1(3), strict liability will apply
     to some aspects of the definition of security classification.
     Paragraph 121.1(3)(a) provides that strict liability applies to the
     element that a classification is applied in accordance with the policy
     framework developed by the Commonwealth for the purpose (or for
     purposes that include the purpose) of identifying the information
     mentioned in subparagraph 90.5(1)(a)(i) or (ii).

552. Strict liability is set out in section 6.1 of the Criminal Code.  The
     effect of applying strict liability to an element of an offence means
     that no fault element needs to be proved and the defence of mistake of
     fact is available.

553. The defence of mistake of fact is set out in section 9.2 of the
     Criminal Code.  The defence provides that a person is not criminally
     responsible for an offence that includes a physical element to which
     strict liability applies if:

         . at or before the time of the conduct constituting the physical
           element, the person considered whether or not a fact existed,
           and is under a mistaken but reasonable belief about those facts,
           and

         . had those facts existed, the conduct would not have constituted
           an offence.

554. For subparagraph 122.4A(1)(d)(ii), the prosecution will have to prove
     that the communication of the information damages the security or
     defence of Australia.  Unlike the offences that apply to current and
     former Commonwealth officers, the harm to the security or defence of
     Australia will need to actually occur for the offence to be committed.



555. The fault element of recklessness applies to this element.  Therefore,
     the prosecution will need to prove beyond a reasonable doubt that the
     person was aware of a substantial risk that the communication of the
     information damaged the security or defence of Australia and having
     regard to the circumstances known to the person, it was unjustifiable
     to take the risk.

556. For subparagraph 122.4A(1)(d)(iii), the prosecution will have to prove
     that the communication of the information interferes with or
     prejudices the prevention, detection, investigation, prosecution of
     punishment of a criminal offence against a law of the Commonwealth.
     Unlike the offences that apply to current and former Commonwealth
     officers, the interference or prejudice will need to actually occur
     for the offence to be committed.

557. The fault element of recklessness applies to this element.  Therefore,
     the prosecution will need to prove beyond a reasonable doubt that the
     person was aware of a substantial risk that the communication of the
     information interferes with or prejudices the prevention, detection,
     investigation, prosecution of punishment of a criminal offence against
     a law of the Commonwealth and having regard to the circumstances known
     to the person, it was unjustifiable to take the risk.

558. For subparagraph 122.4A(1)(d)(iv), the prosecution will have to prove
     that the communication of the information harms or prejudices the
     health or safety of the Australian public or a section of the
     Australian public.  Unlike the offences that apply to current and
     former Commonwealth officers, the harm or prejudice will need to
     actually occur for the offence to be committed.

559. The fault element of recklessness applies to this element.  Therefore,
     the prosecution will need to prove beyond a reasonable doubt that the
     person was aware of a substantial risk that the communication of the
     information harms or prejudices the health or safety of the Australian
     public or a section of the Australian public and having regard to the
     circumstances known to the person, it was unjustifiable to take the
     risk.

560. Note 1 to subsection 122.1(1) clarifies that exceptions to the offence
     are set out at section 122.5.

561. Note 2 under subsection 122.4A(1) clarifies that the fault elements
     for this offence are intention for paragraph (1)(a) and recklessness
     for paragraphs (1)(b) to (d).

562. This Note is being included to implement Recommendation 14 of the
     PJCIS Report.  It has no practical effect, as section 5.6 of the
     Criminal Code already applies these as the automatic fault elements.
     The inclusion of this Note carries no implication that section 5.6 of
     the Criminal Code is ineffective in applying the relevant fault
     elements.  It is intended only to provide clarity to the reader.

563. This offence will carry a maximum penalty of five years' imprisonment.
      This is less than the penalty applying to the equivalent offences
     applying to current and former Commonwealth officers, and reflects the
     serious consequences of the communication of the information covered
     by the offence, given the fact that it will damage the security or
     defence of Australia, interfere with criminal justice processes or
     prejudice the health or safety of the Australian public.

Other dealings with information

564. Subsection 122.4A(2) creates an offence where a person, who did not
     make or obtain the information by reason of being or having been a
     Commonwealth officer, deals with information (other than by
     communicating it) where the information was made or obtained by
     another person who is, or was, Commonwealth officer and any one or
     more of the following applies:

         . the information has a security classification of secret or top
           secret

         . the communication of the information damages the security or
           defence of Australia

         . the communication of the information interferes with or
           prejudices the prevention, detection, investigation, prosecution
           or punishment of a criminal offence against a law of the
           Commonwealth, or

         . the communication of the information harms or prejudices the
           health or safety of the Australian public or a section of the
           Australian public.

565. This offence will carry a maximum penalty of two years' imprisonment.



566. To establish this offence, the prosecution will need to prove beyond
     reasonable doubt that:

         . the person intentionally deals with information (other than by
           communicating it)

         . the information was not made or obtained by the person by reason
           of the person being, or having been, a Commonwealth officer or
           otherwise engaged to perform work for a Commonwealth entity and
           the person was reckless as to this element

         . the information was made or obtained by another person by reason
           of that other person being, or having been, a Commonwealth
           officer or otherwise engaged to perform work for a Commonwealth
           entity and the person was reckless as to this element, and

         . any one or more of the following applies

               o the information has a security classification of secret or
                 top secret and the person is reckless as to this element
                 (noting that some aspects of the definition carry strict
                 liability, which is explained below)

               o the communication of the information damages the security
                 or defence of Australia and the person is reckless as to
                 this element

               o the communication of the information interferes with or
                 prejudices the prevention, detection, investigation,
                 prosecution or punishment of a criminal offence against a
                 law of the Commonwealth and the person is reckless as to
                 this element, or

               o the communication of the information harms or prejudices
                 the health or safety of the Australian public or a section
                 of the Australian public and the person is reckless as to
                 this element.

567. Section 5.6 of the Criminal Code will apply the automatic fault
     element of intention to paragraph 122.4A(2)(a). Under subsection
     5.2(1) of the Criminal Code, a person has intention with respect to
     conduct if he or she means to engage in that conduct.  Recklessness is
     the fault element for paragraphs 122.4A(2)(b), (c) and (d). Section
     5.4 of the Criminal Code provides that a person is reckless with
     respect to:

         . a circumstance if he or she is aware of a substantial risk that
           the circumstance exists or will exist and, having regard to the
           circumstances known to him or her, it is unjustifiable to take
           that risk, and

         . a result if he or she is aware of a substantial risk that the
           result will occur and, having regard to the circumstances known
           to him or her, it is unjustifiable to take the risk.

568. For paragraph 122.1(1)(a), the prosecution will have to prove beyond a
     reasonable doubt that the person intentionally dealt with the
     information, other than by communicating it. The term deal is defined
     for the purposes of Part 5.6 (as amended by Amendment 84) in section
     121.1 as having the meaning given by Part 5.2 of the Criminal Code.
     The definition is intended to ensure that the offence operates to
     deter the disclosure information covered by paragraph 122.4A(2)(d).
     For example, the element will be satisfied where:

         . a person intentionally obtains or collects information-each of
           which may either be steps towards the disclosure of the
           information, or the result of the disclosure of the information,
           or

         . a person intentionally copies or conceals the information-such
           conduct would, or would be likely to, facilitate the disclosure
           of the information (for example, by preventing its discovery or
           recovery by authorities).

569. However, the element will not be satisfied by a person reading,
     analysing or using the information. The nature of information that
     will or is likely to harm Australia's interests is that the harm to
     those interests would have, or could be likely to have, crystallised
     when the information was disclosed. The object of the offence
     framework, therefore, is to strongly deter the disclosure of such
     information in the first instance.

570. For paragraph 122.4A(2)(b), the prosecution will have to prove that
     the information was not made or obtained by the person by reason of
     the person being, or having been, a Commonwealth officer or otherwise
     engaged to perform work for a Commonwealth entity.

571. The fault element of recklessness applies to this element.  Therefore,
     the prosecution will be required to prove beyond reasonable doubt that
     the person was aware of a substantial risk that the information was
     not made or obtained by the person by reason of the person being, or
     having been, a Commonwealth officer or otherwise engaged to perform
     work for a Commonwealth entity and having regard to the circumstances
     known to the person, it was unjustifiable to take the risk.

572. For paragraph 122.4A(2)(c), the prosecution will have to prove that
     the information was made or obtained by that or any other person by
     reason of his or her being, or having been, a Commonwealth officer or
     otherwise engaged to perform work for a Commonwealth entity.

573. The fault element of recklessness applies to this element.  Therefore,
     the prosecution will be required to prove beyond reasonable doubt that
     the person was aware of a substantial risk that the information was
     made or obtained by that or any other person by reason of his or her
     being, or having been, a Commonwealth officer or otherwise engaged to
     perform work for a Commonwealth entity and having regard to the
     circumstances known to the person, it was unjustifiable to take the
     risk.

574. For subparagraph 122.4A(2)(d)(i), the prosecution will have to prove
     that the information had a security classification.  Security
     classification is defined in section 90.5, as amended by Amendments
     31, 32, and 33.  The reference to information having a security
     classification of secret or top secret ensures that this offence will
     only apply where paragraph 90.5(1)(a) applies.  It will not apply to
     equivalent classifications prescribed under paragraph 90.5(1)(b).

575. The prosecution will be required to prove that the information had a
     classification of TOP SECRET or SECRET or an equivalent classification
     and that the person was reckless as to this.

576. Consistent with new subsection 121.1(3), strict liability will apply
     to some aspects of the definition of security classification.
     Paragraph 121.1(3)(a) provides that strict liability applies to the
     element that a classification is applied in accordance with the policy
     framework developed by the Commonwealth for the purpose (or for
     purposes that include the purpose) of identifying the information
     mentioned in subparagraph 90.5(1)(a)(i) or (ii).

577. Strict liability is set out in section 6.1 of the Criminal Code.  The
     effect of applying strict liability to an element of an offence means
     that no fault element needs to be proved and the defence of mistake of
     fact is available.

578. The defence of mistake of fact is set out in section 9.2 of the
     Criminal Code.  The defence provides that a person is not criminally
     responsible for an offence that includes a physical element to which
     strict liability applies if:

         . at or before the time of the conduct constituting the physical
           element, the person considered whether or not a fact existed,
           and is under a mistaken but reasonable belief about those facts,
           and

         . had those facts existed, the conduct would not have constituted
           an offence.

579. For subparagraph 122.4A(2)(d)(ii), the prosecution will have to prove
     that the communication of the information damages the security or
     defence of Australia.  Unlike the offences apply to current and former
     Commonwealth officers, the harm to the security or defence of
     Australia will need to actually occur for the offence to be committed.



580. The fault element of recklessness applies to this element.  Therefore,
     the prosecution will need to prove beyond a reasonable doubt that the
     person was aware of a substantial risk that the communication of the
     information damaged the security or defence of Australia and having
     regard to the circumstances known to the person, it was unjustifiable
     to take the risk.

581. For subparagraph 122.4A(2)(d)(iii), the prosecution will have to prove
     that the communication of the information interferes with or
     prejudices the prevention, detection, investigation, prosecution of
     punishment of a criminal offence against a law of the Commonwealth.
     Unlike the offences that apply to current and former Commonwealth
     officers, the interference or prejudice will need to actually occur
     for the offence to be committed.

582. The fault element of recklessness applies to this element.  Therefore,
     the prosecution will need to prove beyond a reasonable doubt that the
     person was aware of a substantial risk that the communication of the
     information interferes with or prejudices the prevention, detection,
     investigation, prosecution of punishment of a criminal offence against
     a law of the Commonwealth and having regard to the circumstances known
     to the person, it was unjustifiable to take the risk.

583. For subparagraph 122.4A(2)(d)(iv), the prosecution will have to prove
     that the communication of the information harms or prejudices the
     health or safety of the Australian public or a section of the
     Australian public.  Unlike the offences that apply to current and
     former Commonwealth officers, the harm or prejudice will need to
     actually occur for the offence to be committed.

584. The fault element of recklessness applies to this element.  Therefore,
     the prosecution will need to prove beyond a reasonable doubt that the
     person was aware of a substantial risk that the communication of the
     information harms or prejudices the health or safety of the Australian
     public or a section of the Australian public and having regard to the
     circumstances known to the person, it was unjustifiable to take the
     risk.

585. The Note under subsection 122.4A(2) clarifies that the fault elements
     for this offence are intention for paragraph (2)(a) and recklessness
     for paragraphs (2)(b) to (d).

586. This Note is being included to implement Recommendation 14 of the
     PJCIS Report.  It has no practical effect, as section 5.6 of the
     Criminal Code already applies these as the automatic fault elements.
     The inclusion of this Note carries no implication that section 5.6 of
     the Criminal Code is ineffective in applying the relevant fault
     elements.  It is intended only to provide clarity to the reader.

587. This offence will carry a maximum penalty of two years' imprisonment.
     This is less than the penalty applying to the equivalent offences
     applying to current and former Commonwealth officers, and reflects the
     serious consequences of dealings with the information covered by the
     offence, given that it will damage the security or defence of
     Australia, interfere with criminal justice processes or prejudice the
     health or safety of the Australian public.

588. Subsection 122.4A(3) provides that, in proceedings against the
     offences in subsections 122.4A(1) and (2), it is not necessary for the
     prosecution to prove the identity of the other person referred to in
     paragraph (1)(c) or (2)(c).  That is, although the prosecution will
     need to prove that the information was made or obtained by another
     person by reason of that other person being, or having been, a
     Commonwealth officer or otherwise engaged to perform work for a
     Commonwealth entity (and that the defendant is reckless as to this),
     it will not be necessary for the identity of the actual Commonwealth
     officer who made or obtained to be known or identified in order to
     establish the offence.

Amendments 128 and 129: Schedule 2, item 6, page 58 (lines 4 and 8)


589. Amendment 128 replaces the references to 'Commonwealth officer' with a
     reference to 'public official' in the heading of the defence at
     subsection 122.5(1).

590. The existing wording of new subsection 122.5(1) provides a defence to
     a prosecution for an offence against Division 122 (secrecy offences)
     where the person was acting in his or her capacity as a Commonwealth
     officer, which is exhaustively defined in section 121.1 to mean:

         . an APS employee

         . an individual appointed or employed by the Commonwealth other
           than under the Public Service Act 1999

         . a member of the Australian Defence Force

         . a member or special member of the Australian Federal Police

         . an officer or employee of a Commonwealth authority

         . an individual who is a contracted service provider for a
           Commonwealth contract, or

         . an individual who is an officer or employee of a contracted
           service provider for a Commonwealth contract and who provides
           services for the purposes (whether direct or indirect) of the
           Commonwealth contract.

591. This narrow definition is appropriate as regards the use of the term
     in the relevant elements of the secrecy offences.  However, it is
     inappropriately narrow in relation to the defence at subsection
     122.5(1) which should be available to all public officials who
     interact with information covered by the new secrecy offences in
     Division 122 in their capacity as public officials.

592. Amendment 129 will repeal the reference to Commonwealth officer from
     the defence in section 122.5(1) and replace it with a reference to
     public official, which is defined in the Dictionary to the Criminal
     Code, and covers a broader range of officials, including members of
     either House of the Parliament and state or territory officers.

Amendment 130: Schedule 2, item 6, page 58 (line 11)


593. This amendment will amend the defence at paragraph 122.5(1)(b) so that
     it explicitly applies where the person communicated, removed, held or
     otherwise dealt with information in accordance with an arrangement or
     agreement to which the Commonwealth or Commonwealth entity is party
     which allows for the exchange of information.

594. The existing wording of the defence limited it to dealing with,
     removing or holding information.  Although 'communicating information'
     forms part of the definition of deals in section 90.1 of the Criminal
     Code, a reference to communicating information has been included in
     this defence to ensure absolute clarity about which conduct falls
     within the defence.

595. This amendment implements Recommendation 26 of the PJCIS report.

Amendment 131: Schedule 2, item 6, page 58 (lines 15 and 16)


596. This amendment will amend the Note under subsection 122.5(1), which
     provides that the defendant may bear an evidentiary burden in relation
     to elements of this defence (see subsection 13.3). The amendment will
     direct the reader to see subsection 122.5(12) in addition to
     subsection 13.3.

597. New subsection 122.5(12) (which will be inserted by Amendment 150)
     will provide for circumstances relating to integrity agencies in which
     certain persons do not bear an evidential burden.

Amendment 132: Schedule 2, item 6, page 58 (lines 19 and 20)


598. This amendment will simplify the wording of the defence in subsection
     122.5(2) by replacing the reference to 'the information in relation to
     which the offence is committed is information that' with 'the relevant
     information'.

Amendment 133: Schedule 2, item 6, page 58 (lines 25 to 27)


599. This amendment will change the existing heading of subsection 122.5(3)
     to Information communicated etc. to integrity agency to reflect that,
     following the amendment made by Amendment 135 (which includes the
     office of the Australian Information Commissioner as an additional
     agency to which the defence in subsection 122.5(3) applies), it will
     not be accurate for the defence to have a heading that refers only to
     the IGIS, Commonwealth Ombudsman and Law Enforcement Integrity
     Commissioner.

Amendment 134: Schedule 2, item 6, page 58 (lines 29 and 30)


600. This amendment will amend the defence at paragraph 122.5(1)(b) so that
     it explicitly applies where the person communicated, removed, held or
     otherwise dealt with information in accordance with an arrangement or
     agreement to which the Commonwealth or Commonwealth entity is party
     which allows for the exchange of information.

601. The existing wording of subsection 122.5(3) is limited to information
     communicated to an integrity agency. This amendment will ensure that
     the defence applies to all possible conduct (communicating, holding,
     removing or dealing) that could constitute a secrecy offence in
     Division 122.

602. This amendment implements Recommendation 26 of the PJCIS report.

Amendment 135: Schedule 2, item 6, page 59 (after line 6)


603. This amendment amends the defence at subsection 122.5(3) to add a
     reference to the Australian Information Commissioner, or a staff
     member of, or consultant engaged by, the Office of the Australian
     Information Commissioner. The defence at subsection 122.5(3) is
     currently limited to situations where a person communicates
     information to the IGIS, the Commonwealth Ombudsman or the Law
     Enforcement Integrity Commissioner for the purpose of one of those
     officers exercising a power or performing a function or duty.

604. This will ensure that the general secrecy offences do not impinge on
     the ability of the Australian Information Commissioner, or OAIC staff,
     to exercise their powers, or to perform their functions or duties.
     These officials are typically entitled to access any information in
     the course of performing their functions and duties, reflecting the
     paramount importance of effective oversight of the intelligence
     community, law enforcement agencies and the public service.

605. This amendment was suggested by the Australian Information
     Commissioner in Submission 16.1 to the PJCIS inquiry into the Bill,
     which stated:

      To avoid uncertainty about the intended interaction between the
      proposed secrecy framework and the oversight functions of my Office, I
      suggest that the proposed defences in section 122.5 of the Bill should
      include an express reference to the Information Commissioner.

Amendment 136: Schedule 2, item 6, page 59 (line 11)


606. This amendment is consequential to Amendment 135 and will include an
     additional reference to the Australian Information Commissioner in
     paragraph 122.5(3)(b) to ensure the defence in subsection 122.5(3)
     applies to the Australian Information Commissioner.

Amendment 137: Schedule 2, item 6, page 59 (lines 15 and 16)


607. This amendment will amend the Note under subsection 122.5(3), which
     provides that the defendant may bear an evidentiary burden in relation
     to elements of this defence (see subsection 13.3). The amendment will
     direct the reader to see subsection 122.5(12) in addition to
     subsection 13.3. New subsection 122.5(12) (which will be inserted by
     Amendment 150) will provide for circumstances relating to integrity
     agencies in which certain persons do not bear an evidential burden.

Amendment 138: Schedule 2, item 6, page 59 (lines 17 to 24)


608. This amendment will amend subsection 122.5(4) to extend the defence to
     situations where a person communicated, removed, held or otherwise
     dealt with the relevant information for the purpose of communicating
     it in accordance with Freedom of Information Act 1982 and the Public
     Interest Disclosure Act 2013.

609. Subsection 122.5(4) currently only applies in relation to the PID Act
     and is limited to situations where a person 'communicates'
     information.

610. The PJCIS noted (in paragraphs 4.181 and 4.182) that due to the
     existing defences at subsections 122.5(1) and (2), the Bill would not
     appear to impede the proper operation of the Freedom of Information
     Act process. In addition, section 92 of the Freedom of Information Act
     provides that neither a Minister nor a person giving access to a
     document or involved in providing access for consultation purposes
     under the Act is guilty of a criminal offence by reason only of that
     action. However, the PJCIS recommended that the Bill be amended to
     make clear the effect of the defences in relation to the Freedom of
     Information Act.

611. To ensure absolute clarity, the Freedom of Information Act has been
     included with the PID Act in subsection 122.5(4).  This puts beyond
     doubt that requesting, disclosing or receiving information under
     Freedom of Information Act processes is subject to a defence from the
     secrecy offences in Division 122. This implements Recommendation 22 of
     the PJCIS Report.

612. Expanding the defence at subsection 122.5(4) to cover all dealings
     with information, rather than just communication of information,
     implements Recommendation 26 of the PJCIS Report.

613. This amendment will also insert a Note under subsection 122.5(4) to
     clarify that the defendant will bear an evidentiary burden in relation
     to this defence. The Guide to Framing Commonwealth Offences provides
     (at paragraph 4.3.1) that it is appropriate for a matter to be
     included in an offence-specific defence where it is peculiarly within
     the knowledge of the defendant and it would be significantly more
     difficult and costly for the prosecution to disprove than for the
     defendant to establish the matter.  The defence at subsection 122.5(4)
     satisfies both of these criteria.  A defendant is likely to be in the
     best position to easily point to evidence that he or she was
     requesting information under the Freedom of Information Act or making
     a PID.  In addition, this is expected to be a rare situation and is
     unlikely to be a feature of every case that is investigated and
     referred for prosecution.  It would be unnecessary and significantly
     costly if the prosecution was required to disprove this for every
     prosecution of a general secrecy offence.  It is appropriate to
     include it as a defence and allow the defendant to raise the matter if
     the facts and circumstances are appropriate.

614. Consistent with section 13.3 of the Criminal Code, the defendant bears
     the burden of adducing or pointing to evidence that suggests a
     reasonable possibility that the matter exists or does not exist. If
     the defendant discharges an evidential burden, the prosecution must
     disprove those matters beyond reasonable doubt, consistent with
     section 13.1 of the Criminal Code.

615. This amendment will also insert new subsection 122.5(4A) to provide a
     defence where a person communicates, removes, holds or otherwise deals
     with information for the primary purpose of reporting, to an
     appropriate agency of the Commonwealth, a state or a territory:

         . a criminal offence, or alleged criminal offence, against a law
           of the Commonwealth

         . maladministration relating to the prevention, detection,
           investigation, prosecution or punishment of a criminal offence
           against a law of the Commonwealth, or

         . maladministration relating to the performance of functions of
           the AFP under the Australian Federal Police Act 1979 or the
           Proceeds of Crime Act 2002.

616. The PJCIS noted (at paragraph 5.102) that:

      the definition of 'cause harm to Australia's interests' includes to
      interfere with or prejudice the prevention, detection, investigation,
      prosecution and punishment of Commonwealth criminal offences, and
      other AFP functions under the Australian Federal Police Act 1979 and
      the Proceeds of Crimes Act 2002. As a result, proposed subsection
      122.5(8) may not protect a person who wished to report misconduct or
      maladministration in, for example, the investigation of a Commonwealth
      criminal offence, as it would be difficult for that person to claim
      that their reporting of the wrongdoing did not interfere with the
      investigation.

617. The defence proposed in new subsection 122.4A would explicitly protect
     a person who communicated, removed, held or otherwise dealt with
     information for the purpose of reporting a Commonwealth criminal
     offence or reporting maladministration regarding the administration of
     Commonwealth criminal law, or relating to the AFP's functions.

618. This defence will cover the situations identified in paragraph 5.103
     of the PJCIS report:

      This may include, for example, a member of the public reporting
      misconduct by a police officer to a more senior officer in the same
      police force; or reporting to a state oversight body maladministration
      in the use of information shared by the Commonwealth to a state police
      force.

619. Maladministration is not defined, and is intended to take a broad
     meaning.  This could include conduct that is corrupt, an abuse of
     public trust, based in whole or in part on improper motives or is
     unreasonable, unjust or oppressive.  It would also cover conduct that
     results in the wastage of Commonwealth property or money or which
     creates a risk to the health or safety of the Australian public.

620. This amendment will also insert a Note under subsection 122.5(4A) to
     clarify that the defendant will bear an evidentiary burden in relation
     to this defence. The Guide to Framing Commonwealth Offences provides
     (at paragraph 4.3.1) that it is appropriate for a matter to be
     included in an offence-specific defence where it is peculiarly within
     the knowledge of the defendant and it would be significantly more
     difficult and costly for the prosecution to disprove than for the
     defendant to establish the matter.  The defence at subsection
     122.5(4A) satisfies both of these criteria.  A defendant is likely to
     be in the best position to easily point to evidence that he or she was
     seeking to report a criminal offence or maladministration in the
     administration of the criminal law.  In addition, this is expected to
     be a rare situation and is unlikely to be a feature of every case that
     is investigated and referred for prosecution.  It would be unnecessary
     and significantly costly if the prosecution was required to disprove
     this for every prosecution of a general secrecy offence.  It is
     appropriate to include it as a defence and allow the defendant to
     raise the matter if the facts and circumstances are appropriate.

621. Consistent with section 13.3 of the Criminal Code, the defendant bears
     the burden of adducing or pointing to evidence that suggests a
     reasonable possibility that the matter exists or does not exist. If
     the defendant discharges an evidential burden, the prosecution must
     disprove those matters beyond reasonable doubt, consistent with
     section 13.1 of the Criminal Code.

622. This defence implements Recommendation 29 of the PJCIS Report.

Amendment 139: Schedule 2, item 6, page 59 (line 25)


623. This amendment changes the heading of subsection 122.5(5) to
     Information communicated etc. to a court or tribunal to accurately
     reflect the content of the provision, as amended by Amendment 140,
     which broadens the defence in subsection 122.5(5) to also apply to
     information removed, held or otherwise dealt with for the purposes of
     communicating to a court or tribunal.

Amendment 140: Schedule 2, item 6, page 59 (lines 27 and 28)


624. This amendment will broaden the scope of the defence at subsection
     122.5(5) to apply where a person communicates, holds, removes, or
     otherwise deals with information for the purpose of communicating it
     to a court or tribunal. The existing wording of subsection 122.5(5) is
     limited to information communicated to a court or tribunal. This
     amendment will ensure that the defence applies to all possible conduct
     (communicating, holding, removing or dealing) that could constitute a
     secrecy offence in Division 122.

625. This implements Recommendation 26 of the PJCIS report.

Amendment 141: Schedule 2, item 6, page 59 (after line 31)


626. This amendment will insert new subsection 122.5(5A), which provides a
     defence to a prosecution for an offence against Division 122 (secrecy
     offences) where information is communicated, removed, held or
     otherwise dealt with for the primary purpose of obtaining or
     providing, in good faith, legal advice. The legal advice must relate
     to the conduct constituting an offence against Part 5.6 (Secrecy of
     information) or the application of any right, privilege, immunity or
     defence in relation to such an offence. The defence does not have to
     be contained in Part 5.6 (Secrecy of information). For example, it
     could be the general defence lawful authority as set out in
     section 10.5 of the Criminal Code.

627. The defence applies whether the advice was obtained or provided before
     or after the person engaged in the conduct constituting the offence.
     This will ensure that a person can disclose sensitive material to his
     or her lawyer for the purpose of obtaining legal advice on whether an
     offence may be committed by the person's proposed conduct in relation
     to the material or whether an offence has been committed by the
     person's conduct already carried out. The provision is also intended
     protect lawyers, who may need to deal with or hold the information in
     the course of providing legal advice.

628. This amendment will also insert a Note under subsection 122.5(5A) to
     clarify that the defendant will bear an evidentiary burden in relation
     to this defence. The Guide to Framing Commonwealth Offences provides
     (at paragraph 4.3.1) that it is appropriate for a matter to be
     included in an offence-specific defence where it is peculiarly within
     the knowledge of the defendant and it would be significantly more
     difficult and costly for the prosecution to disprove than for the
     defendant to establish the matter.  The defence at subsection
     122.5(5A) satisfies both of these criteria.  A defendant is likely to
     be in the best position to easily point to evidence that he or she was
     obtaining or providing legal advice.  In addition, this is expected to
     be a rare situation and is unlikely to be a feature of every case that
     is investigated and referred for prosecution.  It would be unnecessary
     and significantly costly if the prosecution was required to disprove
     this for every prosecution of a general secrecy offence. It is
     appropriate to include it as a defence and allow the defendant to
     raise the matter if the facts and circumstances are appropriate.

629. Consistent with section 13.3 of the Criminal Code, the defendant bears
     the burden of adducing or pointing to evidence that suggests a
     reasonable possibility that the matter exists or does not exist. If
     the defendant discharges an evidential burden, the prosecution must
     disprove those matters beyond reasonable doubt.

630. This amendment implements Recommendation 30 of the PJCIS report.

Amendment 142: Schedule 2, item 6, page 60 (lines 1 to 27)


631. This amendment will strengthen the defence at subsection 122.5(6) for
     persons engaged in reporting news.

632. The scope of the defence at section 122.5(6) will be broadened to
     apply to a person who communicated, removed, held or dealt with the
     information in his or her capacity as a person engaged in the business
     of reporting news, presenting current affairs or expressing editorial
     or other content in news media. This replaces the previous reference
     in the defence to 'a journalist' which was not sufficiently broad to
     cover the range of other staff, including legal, editorial and other
     administrative support staff, engaged in news reporting in media
     organisations. A person is engaged in the business of reporting news,
     presenting current affairs or expressing editorial or other content in
     news media even if the person only performs administrative functions
     such as photocopying.

633. This is consistent with the amendments requested by the Joint Media
     Organisations in Submission 9.2 to the PJCIS inquiry.

634. The defence will also be amended to remove the reference to 'fair and
     accurate reporting'. The defence will be available where the person
     reasonably believed that dealing with or holding the information was
     in the public interest. Subsection 122.5(7) places a small number of
     limitations on the defence at subsection 122.5(6).

635. The defence will contain an additional limb applying to administrative
     staff of an entity that was engaged in reporting news, presenting
     current affairs or expressing editorial or other content in news media
     who acted under the direction of a journalist, editor or lawyer who
     reasonably believed that dealing with or holding the information was
     in the public interest. This will ensure that any member of the
     administrative staff is protected if he or she acted under the
     direction of another person.  This is consistent with the amendments
     requested by the Joint Media Organisations in Submission 9.2 to the
     PJCIS inquiry.

636. This amendment will also insert a Note under subsection 122.5(6) to
     clarify that the defendant will bear an evidentiary burden in relation
     to this defence. The Guide to Framing Commonwealth Offences provides
     (at paragraph 4.3.1) that it is appropriate for a matter to be
     included in an offence-specific defence where it is peculiarly within
     the knowledge of the defendant and it would be significantly more
     difficult and costly for the prosecution to disprove than for the
     defendant to establish the matter.  The defence at subsection 122.5(6)
     satisfies both of these criteria.  A defendant is likely to be in the
     best position to easily point to evidence that he or she was engaged
     in reporting news and reasonably believed that engaging in the conduct
     was in the public interest.  In addition, this is expected to be a
     rare situation and is unlikely to be a feature of every case that is
     investigated and referred for prosecution.  It would be unnecessary
     and significantly costly if the prosecution was required to disprove
     this for every prosecution of a general secrecy offence. It is
     appropriate to include it as a defence and allow the defendant to
     raise the matter if the facts and circumstances are appropriate.

637. Consistent with section 13.3 of the Criminal Code, the defendant bears
     the burden of adducing or pointing to evidence that suggests a
     reasonable possibility that the matter exists or does not exist. If
     the defendant discharges an evidential burden, the prosecution must
     disprove those matters beyond reasonable doubt, consistent with
     section 13.1 of the Criminal Code.

638. This amendment will also amend subsection 122.5(7), which provides for
     the circumstances in which a person may not reasonably believe that
     their conduct is in the public interest.  Subsection 122.5(7) provides
     that, without limiting paragraph (6)(a) or (b), a person may not
     reasonably believe that communicating, removing, holding or otherwise
     dealing with information is in the public interest if:

         . engaging in that conduct would be an offence under section 92 of
           the ASIO Act-which protects the identity of ASIO employees and
           ASIO affiliates

         . engaging in that conduct would be an offence under section 41 of
           the Intelligence Services Act 2001-which protects the identity
           of the staff and agents of the Australian Secret Intelligence
           Service

         . engaging in that conduct would be an offence under section 22,
           22A or 22B of the Witness Protection Act 1994 - which protects
           the identity of Commonwealth, Territory, State participants or
           information about the National Witness Protection Program, or

         . the conduct was engaged in for the purpose of directly or
           indirectly assisting a foreign intelligence agency (as defined
           in the Dictionary to the Criminal Code, as amended by item 24 of
           Schedule 1 of the Bill) or a foreign military organisation (as
           defined by Amendment 86).

639. Consistent with Recommendation 28 of the PJCIS Report, subsection
     122.5(7) has been amended to remove reference to conduct that will, or
     is likely to, harm or prejudice the health or safety of the Australian
     public or a section of the Australian public.

640. These amendments also implement Recommendation 27 of the PJCIS report.

Amendment 143: Schedule 2, item 6, page 60 (line 30)


641. This amendment will remove the reference to 'relating to the
     communication of information' in subsection 122.5(8) to accommodate
     Amendment 145, which, consistent with Recommendation 26 of the PJCIS
     report, broadens the defence at subsection 122.5(8) to explicitly
     cover communicating, holding, removing, or dealing with information.

Amendment 144: Schedule 2, item 6, page 60 (line 31)


642. This amendment will substitute the reference to 'the information' with
     'the relevant information' as a consequence of Amendment 143, which
     removes the preceding description of the information.

Amendment 145: Schedule 2, item 6, page 61 (lines 8 and 9)


643. This amendment will broaden the scope of the defence at subsection
     122.5(8) to apply where the person communicates, or holds, removes, or
     otherwise deals with information that has previously been communicated
     to the public. The existing wording of subsection 122.5(8) is limited
     to the communication of information already communicated to the
     public. This amendment will ensure that the defence applies to all
     possible conduct (communicating, holding, removing or dealing) that
     could constitute a secrecy offence in Division 122.

644. This implements Recommendation 26 of the PJCIS report.

Amendment 146: Schedule 2, item 6, page 61 (line 17)


645. This amendment will remove the reference to 'relating to dealing with
     information' in subsection 122.5(9) to accommodate Amendments 148 and
     149, which, consistent with Recommendation 26 of the PJCIS report,
     broadens the defence at subsection 122.5(9) to explicitly cover
     communicating, holding, removing, or dealing with information.

Amendment 147: Schedule 2, item 6, page 61 (line 18)


646. This amendment will substitute the reference to 'the information' with
     'the relevant information' as a consequence of Amendment 146, which
     removes the preceding description of the information.

Amendments 148 and 149: Schedule 2, item 6, page 61 (line 27) and page 62
 (line 1)


647. These amendments will broaden the scope of the defence at subsection
     122.5(9) to apply where the person communicates, or holds, removes, or
     otherwise deals with information in the specified circumstances. The
     existing wording of subsection 122.5(9) is limited to dealing with the
     information. This amendment will ensure that the defence applies to
     all possible conduct (communicating, holding, removing or dealing)
     that could constitute a secrecy offence in Division 122.

648. This implements Recommendation 26 of the PJCIS report.

Amendment 150: Schedule 2, item 6, page 62 (after line 6)


649. This amendment will insert a new subsection 122.5(11) which provides
     that for the purpose of the defences in subsections 122.5(3), (4), (5)
     or (5A), it is not necessary to prove in relation to information that
     was held, removed, or otherwise dealt with for the purposes of
     communicating the information that the information was actually
     communicated. The defendant, in seeking to rely on a defence in
     subsection 122.5(3), (4) or (5), is not required to prove the ultimate
     communication.

650. This amendment will also insert a new subsection 122.5(12) to provide
     that employees and officials of integrity agencies covered by
     subsection 122.5(3) (the Inspector-General of Intelligence and
     Security, the Commonwealth Ombudsman, the Law Enforcement Integrity
     Commissioner, and the Australian Information Commissioner) do not bear
     an evidential burden to prove:

       . in relation to the defence at subsection 122.5(1)-that the relevant
         conduct was an exercise of a power, or the performance of a
         function or duty, in the integrity official's capacity as a
         Commonwealth officer or in accordance with a Commonwealth agreement
         or arrangement.

       . in relation to the defence at subsection 122.5(3)-that the person
         to whom the information was, or intended to be, communicated was an
         integrity official or that the relevant conduct was undertaken for
         the purpose of the integrity agency exercising a power, or
         performing a function or duty, and

       . in relation to the defence at subsection 122.5(4)-that the relevant
         conduct was in accordance with the Public Interest Disclosure Act
         2013.

651. This is because each of these integrity agencies are generally
     prohibited from disclosing to a court any information acquired by
     reason of holding that office, as outlined in the following
     legislation:

       . section 34 of the Inspector-General of Intelligence and Security
         Act 1986

       . section 211 of the Law Enforcement Integrity Commissioner Act 2006,
         and

       . section 35 of the Ombudsman Act 1976.

652. A similar limitation can be found in section 29 of the Australian
     Information Commissioner Act 2010

653. This amendment implements Recommendation 25 of the PJCIS report.

Amendment 151: Schedule 2, item 6, page 63 (after line 9)


654. This amendment will include a new section 123.4 to clarify that the
     offences and defences in Part 5.6 (Secrecy of information) do not
     affect any other right, privilege, immunity or defence in other
     legislation. This implements Recommendation 31 of the PJCIS report and
     applies to any rights, immunities or defences that exist outside of
     Part 5.6.  This includes the obligations and immunities listed in
     Recommendation 31:

       . Freedom of Information Act 1982

       . Privacy Act 1988

       . Ombudsman Act 1976

       . Inspector-General of Intelligence and Security Act 1986, and

       . Public Interest Disclosure Act 2013.

655. This amendment will further include a new section 123.5 to provide
     that proceedings for the commitment of a person for trial for an
     offence against Part 5.6 (Secrecy of information) must not be
     instituted without the written consent of the Attorney-General.

656. The Attorney-General's consent is commonly required to commence
     proceedings that could affect Australia's international relations or
     national security. These are considerations that the CDPP is not able
     to take into account under the Prosecution Policy of the Commonwealth.



657. Paragraph 123.5(1)(a) requires the Attorney-General to provide written
     consent before proceedings for the commitment of a person for trial
     for an offence against Part 5.6 can be commenced.  This provides the
     Attorney-General opportunity to receive advice from relevant agencies
     and other Ministers on sensitivities that might arise if proceedings
     are commenced for offences under Part 5.6, and provides opportunity
     for consideration of whether the prosecution could be detrimental to
     Australia's foreign relations and national security.

658. Consistent with paragraph 123.5(1)(b), proceedings that relate to
     security classified information (as defined in section 121.1) must
     also not be initiated unless the Attorney-General has certified that,
     at the time of the conduct that is alleged to constitute the offence,
     it was appropriate that the information had a security classification.
     This will ensure that a person is safeguarded from prosecution for an
     offence relating to information classified secret or top secret if the
     classification was not appropriate at the time the person committed
     the offence. For example, a document may have been created many years
     ago, when it appropriately carried a classification of TOP SECRET but
     given the passage of time the document may now not be sensitive and
     may be unclassified. In these circumstances, certification could not
     be given.

659. As long as a classification of either SECRET or TOP SECRET is
     appropriate, the Attorney-General will be able to give a certification
     under paragraph 123.5(1)(b).  For example, if a document was
     classified as TOP SECRET two years ago, but now appropriately carries
     a classification of SECRET, the Attorney-General will be able to give
     the certification.

660. This amendment implements Recommendation 10 of the PJCIS report.
     Although the PJCIS recommended that the head of the originating agency
     given the relevant certification, it is not considered appropriate to
     require the CDPP to see certification from an agency head as well as
     consent to prosecute from the Attorney-General.  It is more
     administratively efficient to combine the two processes.  The Attorney-
     General will need to receive briefing from the originating agency
     about the appropriate level of security classification that should be
     applied to the information.

661. Subsection 123.5(2) clarifies that the following steps can be taken
     towards preparing for proceedings, without the written consent of the
     Attorney-General having been given:

           . a person may be arrested for the offence and a warrant for such
             an arrest may be issued and executed

           . a person may be charged with the offence, and

           . a person so charged may be remanded in custody or on bail.

662. Subsection 123.5(3) provides that nothing in subsection 123.5(2)
     prevents the discharge of the accused if proceedings are not continued
     within a reasonable time. Australian common law recognises that a
     prosecution may be stayed where there is undue delay, to protect
     Australia's justice system from abuse of processes. The right to stay
     a prosecution also supports the Court's role in providing procedural
     fairness to a defendant, and helps maintain public confidence in the
     administration of justice. It is therefore appropriate that
     subsection 123.5(3) specify that the steps towards commencing
     proceedings as described at subsection 123.5(2) do not prevent the
     discharge of the accused if proceedings are not continued within a
     reasonable time.

663. Subsection 123.5(4) provides that the Attorney-General must consider
     whether the conduct constituting an offence against Part 5.6 of the
     Criminal Code might be authorised in a way mentioned in subsection
     122.5.

664. Subsection 122.5 provides defences to offences against Part 5.6.
     Therefore, the effect of subsection 123.5(4) is to ensure that the
     Attorney-General consider whether an accused's conduct might be
     authorised as described in a defence when considering whether to
     provide consent to prosecute.

665. This amendment implements Recommendation 33 of the PJCIS Report.

Amendment 152: Schedule 2, item 11, page 64 (lines 15 to 17)


666.   This amendment will remove Item 11 of Part 2 of Schedule 2 of the
     Bill, which currently includes Part 5.6 of the Criminal Code (secrecy
     of information) in the definition of 'national security offence' in
     the Australian Citizenship Act 2007. This inclusion would require the
     Minister of Home Affairs to refuse a citizenship application if the
     person has been convicted of a Part 5.6 secrecy offence. That
     amendment will no longer be pursued to minimise any risk of
     inconsistency with Australia's obligations under the 1961 Convention
     on the Reduction of Statelessness, which provides that member states
     shall grant nationality to a person  who would otherwise be stateless
     if, among other conditions, the person has not been convicted of an
     offence against national security.

667. There is a risk that some of the secrecy offences in Part 5.6 of the
     Criminal Code may not be sufficiently connected to national security
     and therefore risk inconsistency with Australia's obligations under
     the Statelessness Convention. For example, section 122.2 makes it a
     secrecy offence to engage in conduct causing harm to Australia's
     interests, which is defined to include outcomes that do not all
     necessarily relate to national security, for example interfering with
     a criminal prosecution.

668. This amendment implements Recommendation 54 of the PJCIS report.

Amendment 153: Schedule 5, item 5, page 75 (lines 2 to 5)


669. This amendment will substitute the reference to 'relationship with
     foreign principals within the meaning of paragraph (a), (b) or (c) of
     the definition of foreign principal in section 10, or with bodies
     controlled by such foreign principals' with 'relationships with
     foreign principals' in new subparagraph 12(7)(a)(vi) of the Foreign
     Influence Transparency Scheme Act.

670. The Foreign Influence Transparency Scheme Act 2017 will be amended to
     limit  the definition of foreign principal in section 10 of the Act to
     foreign governments, foreign political organisations, foreign
     government related entities and foreign government related
     individuals.  These amendments will remove the term 'foreign public
     enterprise' from the definition of foreign principal at paragraph (b)
     and remove foreign businesses and individuals from the definition at
     paragraphs (d) and (e).

671. Item 5 of Schedule 5 currently applies to processes in relation to a
     political campaigner's relationship with foreign principals that were
     foreign governments, foreign public enterprises or foreign political
     organisations, or with bodies controlled by such foreign principals.

672. The effect of this amendment is that subparagraph 12(7)(a)(vi) will
     now apply to each of the foreign principals listed in the definition
     of foreign principal at section 10 of the Foreign Influence
     Transparency Scheme Act, making it unnecessary to specify specific
     subsections of the definition of foreign principal in this
     subparagraph.

Amendment 154: Page 75 (after line 11)


673. This amendment will insert new section 34B in the Inspector-General of
     Intelligence and Security Act 1986. This section will confer immunity
     from liability to penalty on people who voluntarily provide or make
     available information or documents to the IGIS, for the purpose of the
     IGIS performing oversight functions under the IGIS Act. The new
     section is intended to ensure that people who provide information or
     documents to the IGIS on a voluntary basis have equivalent legal
     protections to those available under the Public Interest Disclosure
     Act 2013 for people who make, investigate or assist in the
     investigation of public interest disclosures including PIDs that are
     made to, or are investigated by, the IGIS. 

674. This amendment implements Recommendation 32 of the PJCIS report.

675.  The new section has been inserted to address issues identified during
     the PJCIS inquiry into the Bill relating to the potential effect of
     section 122.1 of the Criminal Code (inserted by Schedule 2 to the
     Bill) on persons who voluntarily disclose security classified
     information to the IGIS.  New section 34B of the IGIS Act is directed
     at ensuring that the secrecy offences in Schedule 2 do not create a
     disincentive for people coming forward to the IGIS with information
     about suspected or perceived wrongdoing by an intelligence agency, as
     a result of their being wholly reliant on a defence.  It will ensure
     that people who voluntarily provide information to the IGIS will have
     equal legal protection to those who do so under compulsion in an
     inquiry and are covered by the immunity in existing subsection 18(9).

676. The new immunity provision of the IGIS Act will complement new section
     123.4 of the Criminal Code, which will be inserted by Amendment 151.
      New section 123.4 of the Criminal Code will have the effect that
     nothing in new Part 5.6 of the Criminal Code (including the offences
     in Division 122) is to be taken to limit or affect the immunities in
     the IGIS Act, which will include new section 34B of the latter Act.

677. New subsection 34B(1) outlines the circumstances in which the immunity
     from liability to penalty will apply. Namely, it applies if a person
     voluntarily provides or makes available information or documents to
     the IGIS, for the purpose of the IGIS performing any of the oversight
     functions under the IGIS Act that are specified in paragraphs
     34B(1)(a)-(d).  These cover all of the oversight functions under the
     IGIS Act, namely:

           . the making of complaints to the IGIS

           . the conduct by the IGIS of preliminary inquiries into
             complaints to determine whether to conduct an inquiry into
             those matters

           . the conduct by the IGIS of inquiries, and

           . the conduct by the IGIS of inspections of intelligence
             agencies.

678. The use of the word voluntarily in this provision is intended to
     denote the provision of information or documents other than under
     compulsion as a result of the exercise by the IGIS of coercive
     information-gathering powers in an inquiry under section 18 of the
     IGIS Act. It is intended to cover the provision of information or
     documents on an unsolicited basis, such as the making of a complaint
     by a person, or a pro-active disclosure by a member of an intelligence
     agency in the course of an inspection or inquiry. It is also intended
     to cover the provision of information or documents to the IGIS in an
     inquiry in response to a simple request rather than a formal notice to
     produce under section 18 of the IGIS Act.

679. The word provides is intended to cover those circumstances in which a
     person gives (in the sense of providing or delivering) documents or
     information to the IGIS. For example, hand-delivering or emailing
     documents. 

680. The phrase makes available is intended to cover those circumstances in
     which a person or an agency gives the IGIS access to its records
     (physical and electronic) in order for the IGIS to conduct a search of
     those holdings and extract relevant documents or information. In
     particular, this is intended to cover the actions of members of
     intelligence agencies who give IGIS officials access to their
     analytical and other electronic record-keeping systems for the purpose
     of the IGIS performing oversight functions in relation to that agency.



681. The provision applies to persons who provide or make available
     information or documents to the IGIS, for the purpose of the IGIS
     performing the specified oversight functions in subsection
     34B(1). There will be a question of fact, in individual cases, as to
     whether a person provided or made available the relevant information
     or documents for that purpose. If there is evidence suggesting that a
     person acted in bad faith or with a malicious intent in giving or
     making available the information or documents to the IGIS, this will
     be material to the availability or otherwise of the immunity.

682. Subsection 34B(2) confers the immunity from liability to penalty, in
     relation to the conduct covered by subsection 34B(1). It provides that
     a person is not liable to a penalty under any other law of the
     Commonwealth for providing or making available the information or
     documents.  This is subject to the exception at subsection 34B(3)
     (below).

683. The immunity is intended to cover all forms of criminal, civil and
     administrative penalty.  Importantly, the immunity only applies to a
     person's conduct in providing or making available the information or
     documents to the IGIS.  If a person engaged in unlawful conduct to
     obtain that information or those documents, the immunity in the IGIS
     Act would not extend to that conduct.  Similarly, if the person
     provided the information or documents to a person in addition to the
     IGIS, the immunity in the IGIS Act would not extend to that conduct. 
     In both instances, the person would be exposed to liability to
     criminal, civil or administrative penalties in relation to that
     conduct, and would be separately reliant on defences or exceptions
     that may be available.  This is consistent with the scope of
     immunities from liability currently conferred by the PID Act.

684. Subsection 34B(3) provides two main exceptions from the immunity from
     liability in subsection 34B(2), which are analogous to those currently
     in the PID Act.

685. The first exception is in paragraph 34B(3)(a).  It provides that the
     immunity from penalty is not available in relation to proceedings for
     an offence under certain provisions of the Criminal Code and Crimes
     Act that relate to the provision of false or misleading information
     and use of fraudulent documents, the obstruction of Commonwealth
     officials, offences relating to evidence and witnesses, and
     preparatory and ancillary offences to the above.  This is intended to
     ensure that people who voluntarily provide information to the IGIS
     with the intention of obstructing or frustrating the conduct of an
     oversight activity (for example, by deliberately giving false or
     misleading information or forged documents to the IGIS) are not
     entitled to shelter behind an immunity in relation to that conduct.

686. The second exception is in paragraph 34B(3)(b).  It replicates similar
     provisions in sections 24 and 75 of the PID Act.  Its effect is to
     provide an explicit statement of the legislative intention that the
     immunity from liability in subsection 34B(2) is intended to have
     effect over all other provisions of Commonwealth laws (such as secrecy
     offences) that were enacted before the commencement of the new
     section, and all provisions enacted after the commencement of the
     section unless those future provisions are expressed to have effect
     despite new section 34B.  

687. For the avoidance of doubt, paragraph 34B(3)(b) does not purport to
     oust or fetter the Parliament's power to legislate in respect of these
     provisions in later enactments.  Rather, it is intended to make clear
     that the protection given in subsection 34B(2) should not be affected
     unless there is a clear expression of legislative intention to do so.
      This intention would be taken into account by a court in determining
     whether new section 34B of the IGIS Act and a provision of a later
     Commonwealth law were capable of operating together, or were actually
     inconsistent. 
                                                                ATTACHMENT A



                  Parliamentary Amendments in Response to:

         Parliamentary Joint Committee on Intelligence and Security
                           Advisory Report on the
       National Security Legislation Amendment (Espionage and Foreign
                           Interference) Bill 2017

                         (Report tabled 7 June 2018)


|Recommendation                                    |Parliamentary amendments      |
|1. Passage of the Bill                            |Not applicable.               |
|The Committee recommends that, following          |                              |
|implementation of the recommendations in this     |                              |
|report, the National Security Legislation         |                              |
|Amendment (Espionage and Foreign Interference)    |                              |
|Bill 2017 be passed.                              |                              |
|Definitions                                                                      |
|2. Prejudice to national security                 |Amendment 6.                  |
|The Committee recommends that the Bill be amended |                              |
|to clarify that, for the purpose of the Bill's    |                              |
|espionage, foreign interference and sabotage      |                              |
|offences, the expression 'prejudice to national   |                              |
|security' cannot consist of embarrassment alone,  |                              |
|and must also include a degree of damage or harm. |                              |
|3. Advantaging the national security of a foreign |Amendment 22.                 |
|country                                           |The definition will require   |
|The Committee recommends that the Bill be amended |the conduct to advantage      |
|to reflect the intent of the Explanatory          |Australia's national security |
|Memorandum that the term 'advantaging the national|to an equivalent extent.      |
|security of a foreign country', does not apply to |                              |
|conduct that is mutually advantageous to the      |                              |
|security of both Australia and a foreign country. |                              |
|4. Meaning of 'Espionage', 'sabotage', 'political |Not applicable.               |
|violence' and 'foreign interference'              |                              |
|The Committee recommends that the Explanatory     |                              |
|Memorandum be amended to provide greater clarity  |                              |
|about the intended meaning of the terms,          |                              |
|'espionage', 'sabotage', 'political violence' and |                              |
|'foreign interference' for the purposes of the    |                              |
|definition of national security at proposed       |                              |
|section 90.4.                                     |                              |
|5. ASIO Act                                       |Amendments 2, 7, 11, and 34.  |
|The Committee recommends that the Bill be amended |                              |
|to clarify that the Bill does not affect the      |                              |
|operation of existing provision in the ASIO Act,  |                              |
|unless explicitly stated.                         |                              |
|6. Foreign political organisation                 |Amendment 24.                 |
|The Committee recommends that the Bill be amended |                              |
|to define what foreign political organisation may |                              |
|be covered by the term 'foreign political         |                              |
|organisation'.                                    |                              |
|7.  Australian Government security clearance      |Amendment 69.                 |
|The Committee recommends that the Bill be amended |                              |
|to define the meaning of 'Australian Government   |                              |
|security clearance'.                              |                              |
|Security Classifications                                                         |
|8. Security classification - definition and       |Amendments 31 and 33.         |
|regulations                                       |                              |
|The Committee recommends that the Bill be amended |                              |
|to define each 'security classification' to which |                              |
|criminal liability attaches. Each definition      |                              |
|should include harm-based statutory criteria to   |                              |
|determine proper classification to apply to that  |                              |
|information. Any material incorporated by         |                              |
|reference into the regulations should be required |                              |
|to be publically available.                       |                              |
|9. Security classification and strict liability   |Amendments 31, 38, 42, 53, 89,|
|The Committee recommends implementation of the    |109, and 124.                 |
|Attorney-General's proposed amendments to         |Strict liability will not     |
|narrow the proposed definition of 'security       |apply to the definition of    |
|classification' to a classification of SECRET or  |'security classification' to  |
|TOP SECRET                                        |the extent that the definition|
|remove strict liability from espionage and secrecy|relates to the information    |
|offences                                          |carrying a classification of  |
|                                                  |SECRET or TOP SECRET.  The    |
|                                                  |prosecution will need to prove|
|                                                  |that the defendant was        |
|                                                  |reckless as to this.  Strict  |
|                                                  |liability will apply to other |
|                                                  |aspects of the definition,    |
|                                                  |which are technical matters   |
|                                                  |and not relevant to the       |
|                                                  |defendant's culpability.      |
|Evidentiary certificates                                                         |
|10. Certification of security classification      |Amendments 62 and 151.        |
|The Committee recommends that the Bill be amended |The Attorney-General will be  |
|to require that, prior to initiating proceedings  |responsible for providing this|
|for an espionage or secrecy offence that relies on|certification as part of the  |
|the fact that information is security classified, |consent to prosecute process. |
|the head of the originating agency must certify   |The Attorney-General will     |
|that it is appropriate that the information had a |receive advice from the       |
|security classification at the time of the conduct|originating agency to inform  |
|that is alleged to constitute the offence. This   |this decision.                |
|certificate should operate as a condition         |                              |
|precedent to the initiation of proceedings. The   |                              |
|certificate should not have any evidentiary       |                              |
|effect.                                           |                              |
|11. Evidentiary certificate regimes - security    |Amendments 66 and 93.         |
|classified information                            |                              |
|The Committee recommends that the Bill be amended |                              |
|to remove the evidentiary certificate regimes in  |                              |
|proposed section 93.3 (1)(a)-(b) and 121.3, in    |                              |
|relation to security classified information.      |                              |
|12. Evidentiary certificate regimes -concerns     |Amendment 66.                 |
|national security                                 |                              |
|The Committee recommends that the Bill be amended |                              |
|to remove the evidentiary certificate regimes in  |                              |
|proposed section 93.3 (1)(c)-(d) in relation to   |                              |
|information that 'concerns Australia's national   |                              |
|security'.                                        |                              |
|Prepatory offences                                                               |
|13. Guide to Framing Commonwealth Offences        |Not applicable.               |
|The Committee recommends that the Government amend|                              |
|the Guide to Framing Commonwealth Offences,       |                              |
|Infringement Notices and Enforcement Powers to    |                              |
|identify criteria to be used for determining the  |                              |
|kinds of criminal conduct that warrant preparatory|                              |
|offences.                                         |                              |
|Secrecy                                                                          |
|14. Secrecy offences - intention and recklessness |Amendments 97, 100, 103, and  |
|The Committee recommends that the Bill include a  |107.                          |
|note making explicit that the secrecy offences    |                              |
|relating to security classified information and   |                              |
|other 'inherently harmful information' will only  |                              |
|apply where a person intentionally deals with the |                              |
|relevant information, and where the person        |                              |
|reckless as to the nature of that information.    |                              |
|15.  Scope of section 122.1                       |Amendments 88, 95, 99, 102,   |
|The Committee recommends that the                 |106, 109, 111, 113, 115, 117, |
|Attorney-General's proposed amendments to narrow  |and 124.                      |
|the scope of the offences at proposed             |Strict liability will not     |
|section 122.1 in relation to 'inherently harmful  |apply to the definition of    |
|information' be implemented. This includes        |'security classification' to  |
|removing paragraph (d) from the definition of     |the extent that the definition|
|'inherently harmful information', removing strict |relates to the information    |
|liability from elements of the offences, and      |carrying a classification of  |
|limiting the offence to Commonwealth officers.    |SECRET or TOP SECRET.  The    |
|                                                  |prosecution will need to prove|
|                                                  |that the defendant was        |
|                                                  |reckless as to this.  Strict  |
|                                                  |liability will apply to other |
|                                                  |aspects of the definition,    |
|                                                  |which are technical matters   |
|                                                  |and not relevant to the       |
|                                                  |defendant's culpability.      |
|16.  Inherently harmful information               |Amendments 82 and 87.         |
|The Committee recommends that the Bill be amended |                              |
|to move paragraph (b) - information the           |                              |
|communication of which would, or could be         |                              |
|reasonable expected to, damage the security or    |                              |
|defence of Australia - from the definition of     |                              |
|'inherently harmful information' into the         |                              |
|definition of cause harm to Australia's interest' |                              |
|in proposed section 121.1.                        |                              |
|17.  Scope of section 122.2                       |Amendments 78, 79, 80, and 81.|
|The Committee recommends that the                 |                              |
|Attorney-General's proposed amendments to narrow  |                              |
|the scope of the offences at proposed section     |                              |
|122.2 in relation to conduct causing harm to      |                              |
|Australia's interests be implemented. This        |                              |
|includes removing paragraphs (a)(ii), (d) and (e) |                              |
|from the definition of 'cause harm to Australia's |                              |
|interest', clarifying that paragraph (f) applies  |                              |
|to the health or safety of the Australian public, |                              |
|or a section of the Australian public, and        |                              |
|limiting the offences to Commonwealth officers.   |                              |
|18.  Regulations prescribing 'proper place of     |Amendment 92.                 |
|custody'                                          |                              |
|The Committee recommends that the Bill be amended |                              |
|to require that any material incorporated into    |                              |
|regulations for the purpose of the definition of  |                              |
|'proper place of custody' at proposed section     |                              |
|121.2 be publically available.                    |                              |
|19.  Scope of section 122.1(4)                    |Amendment 105.                |
|The Committee recommends that the Bill be amended |The scope of section 122.1(4) |
|to limit the secrecy offence at proposed section  |has been narrowed to apply    |
|122.1(4), in relation to failing to comply with a |where the failure to comply   |
|lawful direction, to directions that have been    |with a direction results in a |
|issued for the purpose of protecting the security |risk to security.             |
|of the 'inherently harmful information' against   |                              |
|unauthorised access or disclosure.                |                              |
|20.  Aggravating factor - holds security clearance|Amendment 121.                |
|                                                  |                              |
|The Committee recommends that the Bill be amended |                              |
|to limit the aggravating factor at subparagraph   |                              |
|122.3(1)(b)(v), in relation to the proposed       |                              |
|secrecy offences for Commonwealth officers, to    |                              |
|persons holding an Australian Government security |                              |
|clearance that allows the person to access        |                              |
|information with a classification of SECRET or    |                              |
|above.                                            |                              |
|21.  Secrecy offence for non-Commonwealth officers|Amendment 127.                |
|                                                  |                              |
|The Committee recommends that the                 |                              |
|Attorney-General's proposed amendments, to create |                              |
|separate secrecy offences that apply to           |                              |
|non-Commonwealth officers that are narrower in    |                              |
|scope than those applying to Commonwealth         |                              |
|officers, be implemented.                         |                              |
|22.  Section 122.5 defence and FOI Act            |Amendment 138.                |
|The Committee recommends that the Bill be amended |A new defence specifically    |
|to make clear the effect of the defence in        |covering the Freedom of       |
|subsection 122.5(1) and (2) in relation to the    |Information Act 1982 has been |
|Freedom of Information Act 1982.                  |created at subsection 122.5(4)|
|                                                  |rather than amending          |
|                                                  |subsections 122.5(1) and (2). |
|23.  Sunset period on section 122.4               |Amendment 126.                |
|The Committee recommends that the Bill be amended |                              |
|to apply a sunset period of five years to proposed|                              |
|section 122.4 ('Unauthorised disclosure of        |                              |
|information by current and former Commonwealth    |                              |
|officers etc')                                    |                              |
|24.  Review of existing secrecy offences in other |Not applicable.               |
|legislation                                       |                              |
|The Committee recommends that, following the      |                              |
|passage of the general secrecy offences in        |                              |
|Schedule 2 to the Bill, the Attorney-General      |                              |
|initiate a review of existing secrecy offences    |                              |
|contained in other legislation, taking into       |                              |
|account the set of principles contained in the    |                              |
|Australian Law Reform Commission's report, Secrecy|                              |
|Laws and Open Government in Australia.            |                              |
|25.  Protections for IGIS                         |Amendment 150.                |
|The Committee recommends that the Bill be amended |The Inspector-General of      |
|to ensure that staff of the Inspector-General of  |Intelligence and Security and |
|Intelligence and Security are appropriately       |her Office were consulted and |
|protected, noting the limitations on the          |have agreed to these          |
|Inspector-General and members of staff of the     |amendments.                   |
|Inspector-General giving evidence under the       |                              |
|Inspector-General of Intelligence and Security Act|                              |
|1986. The Committee recommends that this amendment|                              |
|be developed in consultation with the             |                              |
|Inspector-General and her Office.                 |                              |
|26.  Defences in section 122.5                    |Amendments 130, 134, 138, 140,|
|The Committee recommends that the following       |143, 145, 148, and 149.       |
|proposed defence be broadened to cover all        |                              |
|dealings with information, rather than being      |                              |
|limited to communication of information:          |                              |
|proposed section 122.5(3) - relating to the       |                              |
|Inspector-General of Intelligence and Security,   |                              |
|the Commonwealth Ombudsman and the Law Enforcement|                              |
|Integrity Commissioner                            |                              |
|proposed section 122.5(4) - relating the Public   |                              |
|Interest Disclosure Act 2013                      |                              |
|proposed section 122.5(5) - relating to           |                              |
|information provided to a court or tribunal, and  |                              |
|propose section 122.5(8) - relating to information|                              |
|that has been previously communicated.            |                              |
|27.  Defence for journalists                      |Amendment 142.                |
|The Committee recommends that the                 |                              |
|Attorney-General's proposed amendments to the     |                              |
|defence for journalists at proposed               |                              |
|section 122.5(6), and the associated amendments at|                              |
|122.5(7), be implemented. This includes expanding |                              |
|the defence to all persons engaged in reporting   |                              |
|news, presenting current affairs or expressing    |                              |
|editorial content in news media where the person  |                              |
|reasonably believed that dealing with or holding  |                              |
|the information was in the public interests.      |                              |
|The Committee also recommends that the Government |                              |
|consider further refinements to the propose       |                              |
|defence in order to                               |                              |
|make explicit the editorial support staff are     |                              |
|covered by the defence, including legal advisors  |                              |
|and administrative staff,                         |                              |
|ensure editorial staff and lawyers, who are       |                              |
|engaging with the substance of the information, be|                              |
|required to hold a reasonable belief that their   |                              |
|conduct is in the public interest, and            |                              |
|allow administrative support staff working at the |                              |
|direction of a journalist, editor or lawyer who   |                              |
|holds the reasonable belief, to benefit from the  |                              |
|defence.                                          |                              |
|28.  Defence for journalists                      |Amendment 142.                |
|The Committee recommends that the Bill be amended |                              |
|to remove proposed paragraph 122.5(7)(d), which   |                              |
|currently limits the availability of the defence  |                              |
|for persons engaged in reporting news.            |                              |
|29.  Defence for reporting maladministration in   |Amendment 138.                |
|Commonwealth criminal proceedings                 |This defence (at              |
|The Committee recommends that the Bill be amended |subsection 122.5(4A)) has been|
|to provide for a defence for a person who reports,|broadened to also cover       |
|to an appropriate entity, malpractice or          |persons who are dealing with  |
|maladministration in the prevention, detection,   |information for the purpose of|
|investigation, prosecution or punishment of a     |reporting an alleged crime    |
|criminal offence against a law of the Commonwealth|against a law of the          |
|or the functions of the Australian Federal Police |Commonwealth.                 |
|under paragraph 8(1)(be) of the Australian Federal|                              |
|Police Act 1979 or the Proceeds of Crimes         |                              |
|Act 2002.                                         |                              |
|30.  Defence for obtaining legal advice           |Amendment 141.                |
|The Committee recommends that the Bill be amended |                              |
|to include a defence for dealing with information |                              |
|for the purpose of obtaining legal advice.        |                              |
|31.  Obligations and immunities                   |Amendment 151.                |
|The Committee recommends that the Bill be amended |The legislation listed in the |
|to clarify that the secrecy offences in Schedule 2|recommendation does not need  |
|do no override the obligations and immunities     |to be specifically included in|
|included in the:                                  |the provision, which applies  |
|Freedom of Information Act 1982,                  |to any other right, privilege,|
|Privacy Act 1988,                                 |immunity or defence.          |
|Ombudsman Act 1976,                               |                              |
|Inspector-General of Intelligence and Security Act|                              |
|1986, or                                          |                              |
|Public Interest Disclosure Act 2013.              |                              |
|32. Information provided to IGIS - statutory      |Amendment 154.                |
|immunity                                          |                              |
|The Committee recommends that the                 |                              |
|Inspector-General of Intelligence and Security Act|                              |
|1986 be amended to extend statutory immunity to   |                              |
|persons who voluntarily provide information to the|                              |
|Inspector-General or her office.                  |                              |
|33. Consent to prosecute                          |Amendment 151.                |
|The Committee recommends that Bill be amended to  |                              |
|require the Attorney-General's consent for a      |                              |
|prosecution under the proposed secrecy offences in|                              |
|Division 122 of the Bill. In deciding whether to  |                              |
|consent, the Attorney-General should be required  |                              |
|to consider whether the conduct might have been   |                              |
|authorised or is otherwise covered by an exception|                              |
|under any of the proposed defence in the Division.|                              |
|34. Reduction of penalties                        |Amendments 98, 101, 104, 108, |
|Consistent with recommendations of the Australian |112, 114, 116, 118, 122, and  |
|Law Reform Commission, the Committee recommends   |123.                          |
|that the Bill be amended to reduce the maximum    |The penalties for the offences|
|penalty for the secrecy offences in proposed      |at section 122.4A applying to |
|sections 122.1, 122.2 and 122.4A to seven years'  |non-Commonwealth officers have|
|imprisonment for conduct involving communication  |also been reduced to ensure   |
|of information, and three years' imprisonment for |they remain lower than the    |
|other dealings.                                   |penalties applying to current |
|The maximum penalty for the aggravated secrecy    |and former Commonwealth       |
|offences in proposed section 122.3 should be ten  |officers.                     |
|years' imprisonment for conduct involving         |                              |
|communication of information (consistent with the |                              |
|most serious secrecy offences in the Australian   |                              |
|Security Intelligence Organisation Act 1979 and   |                              |
|the Intelligence Services Act 2001), and five     |                              |
|years' for other dealings.                        |                              |
|                                                  |                              |
|                                                  |                              |
|Espionage                                                                        |
|35. Definition of 'concerns'                      |Amendment 22.                 |
|The Committee recommends that the Bill be amended |                              |
|to define the term 'concerns' national security.  |                              |
|36. Definition of 'make available'                |Amendment 25.                 |
|The Committee recommends that the Bill be amended |                              |
|to define the term 'made available' for the       |                              |
|purpose of the espionage offences.                |                              |
|37. Prior publication defence                     |Amendments 49 and 64.         |
|The Committee recommends that the Bill be amended |                              |
|to introduce a prior publication defence for the  |                              |
|proposed espionage offences. The defence should be|                              |
|appropriately drafted to ensure the effectiveness |                              |
|of the provisions whilst protecting freedom of    |                              |
|expression and the implied constitutional right to|                              |
|freedom of political communication.               |                              |
|The Bill should further be amended to require     |                              |
|that, prior to instituting proceedings to commit a|                              |
|person to trial for an espionage offence, the     |                              |
|Attorney-General must consider whether the conduct|                              |
|might be authorised in any of the defence outline |                              |
|in Division 91                                    |                              |
|38. 'Primary purpose' of making information       |Amendment 42.                 |
|available to foreign principal                    |                              |
|The Committee recommends that the                 |                              |
|Attorney-General's proposed amendments to narrow  |                              |
|the scope of the offence in proposed section 91.3 |                              |
|of the Bill be implemented. This includes         |                              |
|requiring that the person dealt with the          |                              |
|information for the 'primary purpose' of making it|                              |
|available to a foreign principal, limiting the    |                              |
|offence to information or articles that have a    |                              |
|security classification, and removing strict      |                              |
|liability from the offence.                       |                              |
|39. Scope of defences - 'in accordance with a law |Not applicable.               |
|of the Commonwealth'                              |                              |
|The Committee recommends that the Explanatory     |                              |
|memorandum be amended to clarify the intended     |                              |
|scope of the proposed defence in Division 91 for  |                              |
|dealings 'in accordance with a law of the         |                              |
|Commonwealth'. The Explanatory Memorandum should  |                              |
|provide examples of situations in which conduct   |                              |
|would be excused by the specific defence, but not |                              |
|the general defence of lawful authority available |                              |
|under section 10.5 of the Criminal Code.          |                              |
|40. Aggravating factor 91.6(1)(b)(v)              |Amendment 52.                 |
|The Committee recommends that the Bill be amended |                              |
|to limit the aggravating factor at subparagraph   |                              |
|91.6(1)(b)(v), in relation to the proposed        |                              |
|espionage offences, to persons holding an         |                              |
|Australian Government security clearance that     |                              |
|allows the person to access information with a    |                              |
|classification of SECRET or above.                |                              |
|41. Right to freedom of expression                |Not applicable.               |
|The Committee recommends that the Explanatory     |                              |
|Memorandum be amended so that the Statement of    |                              |
|Compatibility with Human Rights explicitly        |                              |
|addresses the limitation to the right to freedom  |                              |
|of expression imposed by the espionage offences.  |                              |
|Foreign Interference and theft of trade secrets                                  |
|42. Material support                              |Amendment 59.                 |
|The Committee recommends that the Bill be amended |                              |
|to explicitly provide that the term 'support'     |                              |
|refers to 'material support', and that the        |                              |
|Explanatory Memorandum provide examples of conduct|                              |
|that will not constitute material support, for    |                              |
|example,  news reporting, editorial or opinion    |                              |
|writing and humanitarian assistance.              |                              |
|43. Online theft of trade secrets                 |Not applicable.               |
|The Committee recommends that the Explanatory     |                              |
|Memorandum be amended to clarify whether the      |                              |
|offence is intended to capture the theft of trade |                              |
|secrets by hacking or other online vectors.       |                              |
|Sabotage                                                                         |
|44. Introducing vulnerability offences            |Amendments 8 and 9.           |
|Consistent with the other sabotage offences in the|                              |
|Bill, the Committee recommends that proposed      |                              |
|sections 82.7 and 82.8 (introducing vulnerability |                              |
|with intention, or recklessness, as to national   |                              |
|security) be amended to remove the following      |                              |
|elements:                                         |                              |
|harm or prejudice to Australia's economic         |                              |
|interests,                                        |                              |
|disruption to the functions of the government of  |                              |
|the Commonwealth, or a State or of a Territory,   |                              |
|and damage to public infrastructure.              |                              |
|45. Defence for private owners of public          |Amendment 10.                 |
|infrastructure                                    |                              |
|The Committee recommends that the defence at      |                              |
|proposed section 82.10, in relation to the Bill's |                              |
|sabotage offences, be broadened to include conduct|                              |
|engaged in on behalf of a private owner or        |                              |
|operator of infrastructure, in addition to public |                              |
|officials.                                        |                              |
|Treason, treachery and other threats to security                                 |
|46. Advocating mutiny - definition of 'advocating'|Amendment 13.                 |
|                                                  |                              |
|The Committee recommends that the Bill be amended |                              |
|to define the term 'advocating' for the purpose of|                              |
|proposed section 83.1 (advocating mutiny),        |                              |
|consistent with other existing offences in the    |                              |
|Criminal Code.                                    |                              |
|47. Advocating mutiny - good faith defence        |Amendment 3.                  |
|The Committee recommends that the Bill be amended |                              |
|to provide that the 'good' faith defence at       |                              |
|section 80.3 of the Criminal Code is available for|                              |
|the offence of advocating mutiny.                 |                              |
|48. Advocating mutiny - consent to prosecute      |Amendment 21.                 |
|consideration                                     |                              |
|The Committee recommends that proposed section    |                              |
|83.5(4) 'Consent of Attorney-General required for |                              |
|prosecutions' be amended so that, for an offence  |                              |
|against section 83.1 (advocating mutiny), the     |                              |
|Attorney-General must consider whether conduct    |                              |
|might be authorised in a way mentioned in section |                              |
|80.3.                                             |                              |
|49. Military style training - humanitarian defence|Amendment 17.                 |
|                                                  |                              |
|The Committee recommends that proposed section    |                              |
|83.3 (military style training involving foreign   |                              |
|government) be amended to provide a defence       |                              |
|against prosecution for those engaged in          |                              |
|humanitarian work, including compliance training  |                              |
|on the laws of armed conflict.                    |                              |
|50. Interference with political rights and duties |Amendment 19.                 |
|- penalty                                         |                              |
|The Committee recommends that the Government      |                              |
|reduce the penalty for the offence of             |                              |
|'interference with political rights and duties' at|                              |
|proposed section 83.4 from 10 years' imprisonment.|                              |
|51. Interference with political rights and duties |Not applicable.               |
|- contempt of Parliament                          |                              |
|The Committee recommends that the Explanatory     |                              |
|Memorandum be amended to clarify that nothing in  |                              |
|the Bill affects the Parliament's powers in       |                              |
|relation to contempt.                             |                              |
|Schedules 3 - 5 and consequential amendments                                     |
|52. Telecommunication interception powers         |Not applicable.               |
|The Committee recommends that the Explanatory     |                              |
|Memorandum be amended so that the Statement of    |                              |
|Compatibility with Human Rights explicitly        |                              |
|addresses the necessity, reasonableness and       |                              |
|proportionality of the expansion of               |                              |
|telecommunications interceptions powers to all of |                              |
|the offences specified in Schedule 4 of the Bill. |                              |
|53. Australian Citizenship Act - section 35A      |Amendments 71 and 72.         |
|The Committee recommends that Schedule 1, item 29 |                              |
|of the Bill be amended such that section 35A of   |                              |
|the Australia Citizenship Act 2007 applies to the |                              |
|foreign interference offences in the Bill, and    |                              |
|does not apply to                                 |                              |
|proposed section 82.9 (preparing for or planning  |                              |
|sabotage  offence),                               |                              |
|proposed section 83.4 (interference with political|                              |
|rights and duties), or                            |                              |
|proposed Part 5.6 - Secrecy of information        |                              |
|54. Australian Citizenship Act - national security|Amendments 70 and 152.        |
|offence                                           |                              |
|The Committee recommends that the Bill be amended |                              |
|such that the phrase 'national security offence'  |                              |
|in the Australian Citizenship Act 2007 is limited |                              |
|to those offences which contain a clear nexus to  |                              |
|national security.                                |                              |
|55. Citizenship amendments and statelessness      |Not applicable.               |
|The Committee recommends that the Explanatory     |                              |
|Memorandum be amended so that the Statement of    |                              |
|Compatibility with Human Rights explicitly        |                              |
|addresses the interaction between the proposed    |                              |
|consequential amendments to citizenship           |                              |
|application provisions, and Australia's           |                              |
|international obligations regarding stateless     |                              |
|persons.                                          |                              |
|56. Presumption against bail                      |Amendment 73.                 |
|The Committee recommends that the Bill be amended |                              |
|to provide that section 15AA(1) of the Crimes Act |                              |
|1914 applies to an offence against proposed       |                              |
|Division 80, Division 91 and Division 92 of the   |                              |
|Criminal Code only if:                            |                              |
|the death of a person is alleged to have been     |                              |
|caused by conduct that is a physical element of   |                              |
|the offence, or                                   |                              |
|conduct that is a physical element of the offence |                              |
|carried a substantial risk of causing the death of|                              |
|a person.                                         |                              |
|57. Application of s93.2 Criminal Code - hearing  |Not applicable.               |
|in camera etc.                                    |                              |
|The Committee recommends that the Explanatory     |                              |
|Memorandum for the Bill be amended to clarify the |                              |
|scope and application of section 93.2 of the      |                              |
|Criminal Code.                                    |                              |
|58. Minimum non-parole periods                    |Amendment 74.                 |
|The Committee recommends that the Bill be amended |                              |
|to provide that section 19AG of the Crimes Act    |                              |
|1914, relating to minimum non-parole periods for  |                              |
|certain offences, applies to an espionage offence |                              |
|against section 91.1(1) or 91.2(1), rather than   |                              |
|all espionage offences in Division 91.            |                              |
|Concluding recommendations                                                       |
|59. INSLM Review                                  |Amendment 77.                 |
|The Committee recommends that, after a period of  |                              |
|three years, the Independent National Security    |                              |
|Legislation Monitor be required to conduct a      |                              |
|review of Division 82 (sabotage), Part 5.2        |                              |
|(espionage, foreign interference, theft of trade  |                              |
|secrets), and Part 5.6 (secrecy) of the Criminal  |                              |
|Code.                                             |                              |
|                                                  |                              |
|A copy of the report on the independent review    |                              |
|should be provided to the Attorney-General, who   |                              |
|should be required to provide it to the Committee.|                              |
|Any amendments proposed to be made to the laws a  |                              |
|as a result of the review should be referred to   |                              |
|the Committee for inquiry.                        |                              |
|60. Correction of drafting errors                 |Amendments 18, 47, 48, 50, 54,|
|The Committee recommends that the                 |55, 56, 57, 58, 61 and 67.    |
|Attorney-General's Department review the Bill and |                              |
|Explanatory Memorandum in detail with a view to   |                              |
|making amendments to correct any drafting errors  |                              |
|prior to the conclusion of debate in the          |                              |
|Parliament.                                       |                              |



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