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題名:機構投資人股東權之行使--以公司治理為中心
書刊名:政大法學評論
作者:王育慧
作者(外文):Wang, Yu-hui
出版日期:2007
卷期:97
頁次:頁137-209
主題關鍵詞:機構投資人機構投資人積極主義股東權受託義務股東提案表決權團體訴訟Institutional shareholderInstitutional shareholder activism shareholder rightFiduciary duty shareholder proposalProxyVoteClass action
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(1) 博士論文(1) 專書(0) 專書論文(0)
  • 排除自我引用排除自我引用:1
  • 共同引用共同引用:311
  • 點閱點閱:40
期刊論文
1.林國全(20050900)。二〇〇五年公司法修正條文解析。月旦法學,124,264-281。  延伸查詢new window
2.Clark, Robert C.(1976)。The Soundness of Financial Intermediaries。Yale L. J.,86,1-24。  new window
3.Guercio, Diane Del、Hawkins, Jennifer(1999)。The Motivation and Impact of Pension Fund Activism。Journal of Financial Economics,52(3),293-340。  new window
4.Kim, Samuel S.(1998)。Mutual Funds: Solving the Shortcomings of the Independent Director Response to Advisory Self-Dealing Through Use of the Undue Influence Standard。Columbia Law Review,98(2),474-509。  new window
5.Choi, Stephen J.、Fisch, Jill E.、Pritchard, A. C.(2005)。Do Institutions Matter? The Impact of the Lead Plaintiff Provision of the Private Securities Litigation Reform Act。WASH. U. L.Q.,83,869。  new window
6.高金枝(19800500)。消費者保護與集體訴訟之可行性。軍法專刊,26(5),15-19。new window  延伸查詢new window
7.陳春山(20040200)。我國公司治理改造策略。證交資料,502,24-49。  延伸查詢new window
8.梁懷信、林文鵬(20050200)。證券投資信託基金得否為締約主體之初探。證券暨期貨月刊,23(2),47-55。  延伸查詢new window
9.Begleiter, Martin D.(1999)。Does the Prudent Investor Need the Uniform Prudent Investor Act An Empinical Study of Trust Investment Practices。Maine Law Review,51,27-85。  new window
10.Feagans, Timothy L.(1984)。SEC Rule 14a-8: New Restrictions on Corporate Democracy?。Buffalo Law Review,33,225。  new window
11.Freeman, John P.、Brown, Stewart L.(2001)。Mutual Fund Advisory Fees: The Cost of Conflicts of Interest。Journal of Corporation Law,26(3),609-673。  new window
12.Palmiter, Alan R.(2002)。Mutual Fund Voting of Portfolio Shares: Why Not Disclose?。Cardozo Law Review,23(4),1419-1492。  new window
13.Pinto, Arthur R.(1998)。Corporate Governance: Monitoring the Board of Directors in American Corporations。American Journal of Comparative Law,46(2)。  new window
14.Smith, D. Gordon(1996)。Corporate Governance and Managerial Incompetence: Lessons from Kmart。North Carolina Law Review,74(4),1037-1132。  new window
15.Romano, Roberta(2001)。Less Is More: Making Institutional Investor Activism a Valuable Mechanism of Corporate Governance。Yale J. on Reg.,18,174。  new window
16.Hamilton, Robert W.(2000)。Corporate Governance in America 1950-2000: Major Changes But Uncertain Benefits。Journal of Corporation Law,25(2),349-374。  new window
17.楊光華(19950600)。機構投資人與公司管理。政大法學評論,53,245-264。new window  延伸查詢new window
18.劉連煜(20030300)。健全獨立董監事與公司治理之法制研究--公司自治、外部監控與政府規制之交錯。月旦法學,94,131-154。new window  延伸查詢new window
19.劉連煜(19950700)。股東提案制度與公司社會責任--以美國法制實踐為借鏡。中興法學,39,135-156。new window  延伸查詢new window
20.黃銘傑(20000700)。公司監控與監察人制度改革論--超越「獨立董事」之迷思。國立臺灣大學法學論叢,29(4),159-208。new window  延伸查詢new window
21.劉連煜、林俊宏(2004)。投資人團體訴訟新時代的來臨。月旦法學,111,80-98。new window  延伸查詢new window
22.Black, Bernard S.(1992)。Agents watching agents: The promise of institutional investor voice。UCLA Law Review,39(4),811-893。  new window
23.Gilson, Ronald J.、Kraakman, Reinier(1991)。Reinventing the Outside Director: An Agenda for Institutional Investors。Stanford Law Review,43(4),863-906。  new window
24.Sharpe, William F.(1964)。Capital Asset Prices: A Theory of Market Equilibrium under Conditions of Risk。The Journal of Finance,19(3),425-442。  new window
25.柯承恩(20000400)。我國公司監理體系之問題與改進建議。會計研究月刊,173,75-81。  延伸查詢new window
26.Houseal, Ryan(2003)。Beyond the Business Judgment Rule: Protecting Bidder Firm Shareholders from Value-reducing Acquisitions。University of Michigan Journal of Law Reform,37(1),193-256。  new window
27.張俊生(2001)。美國機構投資人在公司治理中的作用。深圳證券交易所證券市場導報,8。  延伸查詢new window
28.Coffee, John C. Jr.(2001)。"When Smoke Gets in Your Eyes" Myth and Reality about the Synthesis of Private Counsel and Public Client。DePaul Law Review,51(2),241-252。  new window
29.McCahery, Joseph A.、Moerland, Piet、Raaijmakers, Theo、Renneboog, Luc、Cioffi, John W.(2004)。Corporate Governance Regimes: Convergence and Diversity。The American Journal of Comparative Law,52(3),770-776。  new window
30.Wong, Tiffany M.(2003)。Defendants' Standing to Oppose Lead Plaintiff Appointment under the Private Securities Litigation Reform Act of 1995。University of Chicago Legal Forum,2003(1),833。  new window
31.Romano, Roberta(2003)。Does Confidential Proxy Voting Matter?。The Journal of Legal Studies,32(2),465-509。  new window
32.Anson, Mark、White, Ted、Ho, Ho(2001)。Good Corporate Governance Works: More Evidence from CalPERS。Journal of Asset Management,5(3),149-156。  new window
33.Black, Bernard(1992)。Institutional Investors and Corporate Governance: The Case for Institutional Voice。Journal of Applied Corporate Finance,5(3),19-32。  new window
34.Pozen, Robert C.(1994)。Institutional Investors: The Reluctant Activists。Harvard Business Review,72(1),140-140。  new window
35.Wasick, David、Tabacco, Joseph Jr.(2004)。Navigating the Waters of Securities Litigation。Nevada Lawyer,12,18。  new window
36.Usmani, Farah Z.(2001)。Inequities in the Resolution of Securities Disputes: Individual or Class Action; Arbitration or Litigation。Fordham Journal of Corporate & Financial Law,7(1),193-234。  new window
37.Fleming, Austin(1977)。Prudent Investments: The Varying Standards of Prudence。Real Property, Probate and Trust Law,12。  new window
38.Walke, Richard H.、Seymour, J. Gordon(1998)。Recent Judicial and Legislative Developments Affecting the Private Securities Fraud Class Action。Arizona Law Review,40(3),1003-1038。  new window
39.Coffee, John C. Jr.(2001)。Response: Litigation Governance: A Gentle Critique of the Third Circuit Task Force Report。Temple Law Review,74(4),805。  new window
40.Johnson, Michael T.(1996)。Speculating on the Efficacy of "Speculation": An Analysis of the Prudent Person's Slipperiest Term of Art in Light of Modern Portfolio Theory。Stanford Law Review,48(2)。  new window
41.Steinberg, Marc I.(1996)。Symposium: Securities Law after the Private Securities Litigation Reform Act - Unfinished Business。SMU Law Review,50,9。  new window
42.Martin, Craig C.、Metcalf, Matthew H.(2001)。The Fiduciary Duties of Institutional Investors in Securities Litigation。The Business Lawyer,56(4),1381-1416。  new window
43.Clark, R. C.(1981)。The Four Stages of Capitalism: Reflections on Investment Management Trends。Harvard Law Review,94,561-568。  new window
44.Halbach, Edward C.(1992)。Trust Investment Law in the Third Restatement。Iowa Law Review,77(3)。  new window
45.Fanto, James(2004)。Whistleblowing and the Public Director: Countering Corporate Inner Circles。Oregon Law Review,83(2),435-540。  new window
46.Norton, Rob(19910729)。Who Owns This Company, Anyhow?。Fortune magazine,1991(Jul.),131。  new window
會議論文
1.易明秋(1999)。公司控制之失靈與法制改革。中央大學產業經濟研究所第二屆產業經濟研討會,(會議日期: 1999年6月25日)。  延伸查詢new window
研究報告
1.邱靖博、陳茵琦、簡淑芬(200306)。世界主要國家公司治理之國際趨勢與未來發展--美、英、法、德、日、韓、港、星。台灣證券交易所股份有限公司。  延伸查詢new window
2.陳春山(2003)。共同投資機制之股東權運作與公司治理關聯性探討。  延伸查詢new window
學位論文
1.游志煌(2004)。主導私權證券訴訟之法制模型探討--律師驅策 v.s 非營利組織(碩士論文)。東吳大學。  延伸查詢new window
2.陳志妃(2001)。共同基金相關法律問題之研究--以受託人忠誠義務為核心(博士論文)。東吳大學。new window  延伸查詢new window
3.黃怡菁(2004)。信託財產之研究(碩士論文)。國立高雄大學。  延伸查詢new window
4.許良宇(2003)。公司治理法制之比較研究(碩士論文)。國立臺灣大學。  延伸查詢new window
5.趙德樞(1989)。股東提案制度之研究(碩士論文)。國立政治大學。  延伸查詢new window
6.蔡昇嘉(2003)。股份有限公司內部管控法律規範之研究(碩士論文)。東吳大學。  延伸查詢new window
7.陳惠如(2005)。「謹慎投資人原則」之研究--兼論我國受託人投資權限之規範(碩士論文)。國立中正大學。  延伸查詢new window
圖書
1.BRANCATO, CAROLYN KAY(1997)。INSTITUTIONAL INVESTORS AND CORPORATE GOVERNANCE: BEST PRACTICES FOR INCREASING CORPORATE VALUE。  new window
2.Charkham, Jonathan、Simpson, Anne(1999)。Fair Shares: The Future of Shareholder Power and Responsibility。  new window
3.Monks, Robert A. G.、Minow, Nell(2001)。CORPORATE GOVERNANCE。  new window
4.吳當傑(2004)。公司治理理論與實務。  延伸查詢new window
5.(2001)。我國公司治理。財團法人證券暨期貨市場發展基金會。  延伸查詢new window
6.陳春山(2000)。證券投資信託專論。  延伸查詢new window
7.Bogert, George Gleason、Oaks, Dallin H.、Hansen, H. Reese、Neelenman, Stanley D.(2001)。Law of Trusts。  new window
8.Bogle, John C.(2001)。John Bogle on Investing: The First 50 Years。  new window
9.Downes, Gile R.、Houminer, Ehud Jr.、Hubbard, R. Glenn(1999)。Institutional Investors and Corporate Behavior。  new window
10.Goodman, Susannah Blake、Jonas, Kron、Tim, Little(2002)。The Environmental Fiduciary-The Environmental Fiduciary: The Case for Incorporating Environmental Factors into Investment Management Policies。  new window
11.LONGSTRETH, BEVIS(1986)。MODERN INVESTMENT MANAGEMENT AND THE PRUDENT MAN RULE。  new window
12.(2004)。OECD Principles Of Corporate Governance。OECD。  new window
13.(2000)。POUCY STATEMENT ON CORPORATE GOVERNANCE。TIAA-CREF。  new window
14.Roe, Mark J.(1994)。Strong Managers, Weak Owners: The Political Roots of American Corporate Finance。Princeton University。  new window
15.STAPLEDON, G, P.(1996)。INSTITUTIONAL SHAREHOLDERS AND CORPORATE GOVERNANCE。  new window
16.Markowitz, Harry M.(1959)。Portfolio Selection: Efficient Diversification of Investments。New York:Chapman & Hall。  new window
17.符寶玲(2001)。退休基金制度與管理。台北:華泰文化事業公司。  延伸查詢new window
18.劉紹樑(20021127)。從莊子到安隆--A+公司治理。臺北:天下文化。  延伸查詢new window
19.易明秋(2003)。公司治理。台北:弘智文化事業有限公司。  延伸查詢new window
20.余雪明(200108)。比較退休基金法。臺北:元照圖書。  延伸查詢new window
21.劉連煜(1995)。公司法理論與判決研究。臺北:三民書局。new window  延伸查詢new window
22.Easterbrook, Frank H.、Fischel, Daniel R.(1991)。The Economic Structure of Corporate Law。Harvard University Press。  new window
23.余雪明(2003)。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
24.劉連煜(2006)。新證券交易法實例研習。臺北:元照出版有限公司。new window  延伸查詢new window
25.BOGERT, GEORGE T.(1987)。Trust。  new window
26.劉連煜、陳美卿、陳茵琦(1998)。證券暨期貨爭議案件訴訟進行之研究。臺北市:證券暨期貨市場發展基金會。  延伸查詢new window
27.劉連煜(2007)。公司法理論與判決。台北:元照。new window  延伸查詢new window
其他
1.Barnhart, Bill(19980308)。As Shareholders Speak Up, Many Funds Are Silent。  new window
2.Blanton, Kimberly(19950516)。In the Fidelity Fold: An Investment by the Funds Giant Can Be a Mixed Blessing。  new window
3.Hollie, Leonard J.(19891002)。Activism Not for Firms。  new window
4.Sullivan, Rory,Mackenzie, Craig(20040801)。Pension Fund Activism-Get up, Stand up for Your Rights。  new window
 
 
 
 
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