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題名:公司治理與股東權利之保障
書刊名:嶺東財經法學
作者:陳介山
作者(外文):Chen, Cheih-shan
出版日期:2008
卷期:1
頁次:頁1-31
主題關鍵詞:公司治理不同意股東收買請求權少數股東權董事會中心原則控制力市場Corporate governanceThe appraisal rightMicro stockholder rightThe center of board of directorsThe market of controller
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(3) 博士論文(0) 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:170
  • 點閱點閱:49
期刊論文
1.Gordon, Jeffrey N.(1994)。Institutions as Relational Investors: A New Look at Cumulative Voting。Columbia Law Review,94(1),124-192。  new window
2.Manning, Bayless(1962)。The Shareholder's Appraisal Remedy: An Essay for Frank Coker。The Yale Law Journal,72(2),223-265。  new window
3.劉連煜(19941200)。超越企業所有與企業經營分離原則--強制機構投資人分散持股規定的檢討。政大法學評論,52,411-421。new window  延伸查詢new window
4.蔡麗玲(20000300)。亞洲金融風暴與企業管控問題。證券暨期貨管理,18(3),15-26。  延伸查詢new window
5.王志誠(19981100)。美國公司經營機關之改造與啟發--兼論我國引進外部董事制度之基本課題。證券暨期貨管理,16(11),1-21。  延伸查詢new window
6.Mericck, Daodd E.(1932)。For Whom Are Corporate Managers are Trustees: A note。Harvard Law Review,45(8),1365-1372。  new window
7.Conard, Alfred F.(1978)。Amendments of Model Business Corporation Act Affecting Dissenters' Rights (Sections 73, 74, 80, and 81)。The Business Lawyer,33(4),2587-2605。  new window
8.American Bar Association Corporate Committee(1855)。Changes in the Model Business Corporation Act Affecting Dissenters' Rights。The Business Lawyer,32(4),1855-1878。  new window
9.Black, Bernard S.(1992)。The Value of Institutional Investor Monitoring: The Empirical Evidence。UCLA Law Review,39,895-939。  new window
10.Coffee, John C. Jr.(1991)。Liquidity Versus Control: The Institutional Investor as Corporate Monitor。Columbia Law Review,91(6),1277-1368。  new window
11.許美麗(2000)。控制與從屬公司關係企業之股東代位訴訟。政大法學評論,63。new window  延伸查詢new window
12.Gilson, Ronald J.、Roe, Mark J.(1993)。Understanding the Japanese Keiretsu: Overlaps between Corporate Governance and Industrial Organization。Yale Law Journal,102(4),871-906。  new window
13.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
14.薛明玲、蔡朝安(20030500)。從資訊揭露看公司治理。月旦法學,96,335-343。new window  延伸查詢new window
15.梁宇賢(20021200)。股份有限公司機關之內部治理--以機關間組織體制之管控為主題。月旦法學,91,132-139。new window  延伸查詢new window
16.黃銘傑(20010100)。交叉持股vs.公司監控。國立臺灣大學法學論叢,30(1),201-247。new window  延伸查詢new window
17.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
18.曾宛如(20020100)。公司外部監督之分析。國立臺灣大學法學論叢,31(1),147-213。new window  延伸查詢new window
19.王文宇(20020500)。從公司治理論董監事法制之改革。臺灣本土法學雜誌,34,99-116。  延伸查詢new window
20.Gilson, Ronald J.、Kraakman, Reinier(1991)。Reinventing the Outside Director: An Agenda for Institutional Investors。Stanford Law Review,43(4),863-906。  new window
21.Fama, Eugene F.(1980)。Agency Problems and the Theory of the Firm。Journal of Political Economy,88(2),288-307。  new window
研究報告
1.Claessens S.、Djankov, S.、Fan, J.、Lang, L. H. P.(1999)。On Expropriation of Minority Shareholders: Evidence from East Asia。Washington:World Bank。  new window
圖書
1.陳春山(2000)。公司管控與投資人保護--金融改革之路。元照。  延伸查詢new window
2.王文宇(2000)。公司企業法制。元照。new window  延伸查詢new window
3.Bachholg, Rogene A.(1992)。Business Environment and Public Policy Implications for Management and Strategy。Prentice Hall。  new window
4.Davis, Paul L.(1997)。Principles of Modem Company Law。London:Sweet & Maxwell。  new window
5.Palmer, Francis Beaufort、Morse, Geoffrey(1992)。Palmer's Company Law。London:Sweet & Maxwell。  new window
6.Stone, Chostpie(1992)。Why Shouldn't Corporations Be Socially Responsible?。  new window
7.梁宇賢(1993)。公司法論。台北:三民。  延伸查詢new window
8.Bauman, Jeffrey D.、Weiss, Elliott J.、Palmiter, Alan R.(2003)。Corporations Law and Policy: Material and Problem。St. Paul, MN:Thomson:West。  new window
9.劉連煜(1997)。公司法理論與判例研究。劉連煜。new window  延伸查詢new window
10.Clark, R. C.(1986)。Corporate Law。Boston, MA:Aspen Law & Business。  new window
圖書論文
1.廖大穎(1999)。論交叉持股制度--另類的財務操作與企業結合。證券市場與股份制度論。臺北:元照。  延伸查詢new window
2.余雪明(1996)。獨立董事與投資人保護。馬漢寶教授七秩慶論文集--法律與當代社會。永然。  延伸查詢new window
 
 
 
 
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