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題名:由第三人預防策略看證券詐欺之防制
書刊名:法令月刊
作者:蔡彥守
出版日期:2006
卷期:57:4
頁次:頁21-35
主題關鍵詞:第三人預防策略證券詐欺
原始連結:連回原系統網址new window
相關次數:
  • 被引用次數被引用次數:期刊(0) 博士論文(2) 專書(0) 專書論文(0)
  • 排除自我引用排除自我引用:0
  • 共同引用共同引用:0
  • 點閱點閱:7
期刊論文
1.Kraakman, R. H.(1986)。Gatekeepers: The anatomy of a third party enforcement strategy。Journal of Law, Economics, & Organization,2(1),53-104。  new window
2.Coffee, John C. Jr.(2004)。Gatekeeper Failure and Reform: The Challenge of Fashioning Relevant Reforms。Boston University Law Review,84(2),301-364。  new window
3.Coffee, John C. Jr.(1981)。''No Soul to Damn: No Body to Kick'': An Unscandalized Inquiry into the Problem of Corporate Punishment。Michigan Law Review,79(3),386-459。  new window
4.Kraakman, Reinier H.(1984)。Corporate Liability Strategies and the Costs of Legal Controls。Yale Law Journal,93,857-898。  new window
5.Baxter, Lawrence G.(1995)。Reforming Legal Ethics in a Regulated Environment。Geo. J. Legal Ethics,8,181-189。  new window
6.Mittelstadt, Michelle(20020315)。Andersen Charged With Obstruction, Vows to Fight。Dallas Morning News,1。  new window
7.Enron, Understand。It's About Gatekeepers, Stupid。Bus. Law.,57,1403。  new window
8.Koniak, Susan P.(2003)。When the hurly burly's done: The bar's struggle with the SEC。Colum. L. Rev.,103,1248。  new window
9.Fruad, Corporate(2003)。See Lawyers。Harv J. L. & Pub. Pol'y,26,196-197。  new window
10.Hunter, Barry D.(1997)。Liability of Issuer's Counsel in the Wake of Central Bank of Denver-To Whom Is the Lawyer's Due Diligence Due。Kentucky L. J.,86,413。  new window
11.Lowenfels, Lewis D.、Bromberg, Alan R.(1998)。Liabilities of Lawyers and Accountants Under Rule 1 Ob-5。Bus Law,53,1157。  new window
12.Davis, Evan A.(2003)。The Meaning of Professional Independence。Colum L. Rev.,103,1281。  new window
13.Harris, George C.(1998)。Taking The Entity Theory Seriously: Lawyer Liability For Failure To Prevent Harm to Organizational Clients Through Disclosure Of Constituent Wrongdoing。Geo. J. Legal Ethics,11,598。  new window
14.Kaplow, Louis、Shavell, Steven(1989)。Legal Advice About Information to Present In Litigation: Its Effects and Social Decirability。Harv. L. Rev.,102,102-565。  new window
15.Fisch, Jill. E.、Rosen, Kenneth M.(2003)。Is there a role for lawyer in preventing future Enrons?。Vill. L. Rev.,48,1108。  new window
16.Lawyer Conduct And Corporate Misconduct。Harv. L. Rev.,117,2236。  new window
17.林仁光(20040600)。論證券發行人不實揭露資訊之法律責任--兼論證券交易法修正草案第二十條。律師雜誌,297,32-47。  延伸查詢new window
18.王志誠(20040600)。發行市場證券詐欺規範之解釋及適用。律師雜誌,297,15-31。  延伸查詢new window
19.Coffee, John C. Jr.(2003)。The Attorney as Gatekeeper: An Agenda for the SEC。Columbia Law Review,103,1293-1316。  new window
學位論文
1.黃曉芬(2003)。從公司治理論會計師之角色定位與規範(碩士論文)。國立臺北大學。  延伸查詢new window
圖書
1.Klein, William A.、Coffee, John C. Jr.。Business Organization and Finance。New York, N.Y:Foundation Press。  new window
2.余雪明(2000)。證券交易法。財團法人中華民國證券暨期貨市場發展基金會。  延伸查詢new window
其他
1.陳興良。金融詐欺的法理分析,http://article.chinalawinfo.com/micle/user/article_display.asp?ArticleID-26941。  延伸查詢new window
2.ABA。Resolution adopted by the house of delegates amending rule 1.6 of the model rule of professional conduct (aug.11-12, 2003),http://www.abanet.org/leadership/2003/journal/119a.pdf。  new window
3.ABA。Resolution adopted by the house of delegates amending rule 1.13 of the model rule professional (aug.11-12, 2003),http://www.abanet.org/laedership/2003/journal/119a.pdf。  new window
 
 
 
 
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