:::

詳目顯示

回上一頁
題名:證券訴訟之治理--以訴訟出資者為中心
書刊名:法學新論
作者:鄭子俊
作者(外文):Cheng, Tz-chun
出版日期:2011
卷期:31
頁次:頁97-133
主題關鍵詞:證券訴訟訴訟治理集團訴訟訴訟出資者Securities litigationLitigation governanceClass actionLitigation funder
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(1) 專書(0) 專書論文(0)
  • 排除自我引用排除自我引用:3
  • 共同引用共同引用:175
  • 點閱點閱:29
期刊論文
1.Lee, Fredrick J.(2010)。Global Institutional Choice。New York University Law Review,85(1),328-357。  new window
2.Coffee, John C. Jr.(2006)。Reforming the Securities Class Action: An Essay on Deterrence and its Implementation。Columbia Law Review,106(7),1534-1586。  new window
3.王文宇、張冀明(20070300)。非營利組織主導的證券團體訴訟--論投資人保護中心。月旦民商法雜誌,15,5-33。  延伸查詢new window
4.Black, Bernard、Cheffins, Brian、Klausner, Michael(2006)。Outside director liability。Stanford Law Review,58(4),1055-1159。  new window
5.林郁馨(2008)。從美國證券集團訴訟談證券詐欺訴訟的填補損害及嚇阻功能。月旦財經法雜誌,14,173-193。  延伸查詢new window
6.Coffee, John C. Jr.(2008)。Accountability and Competition in Securities Class Actions: Why 'Exit' Works Better than 'Voice'。Cardozo Law Review,30,407-444。  new window
7.Coffee, John C. Jr.(2010)。Litigation Governance: Taking Accountability Seriously。Columbia Law Review,110,288-351。  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
圖書
1.賴英照(2006)。股市遊戲規則--最新證券交易法解析。台北:賴英照。  延伸查詢new window
2.Grace,Stefano M.(2006)。Strengthening Investor Confidence in Europe: U.S.-Style Class Actions and the Acquis Communautaire。15 J. TRANSNAT’LL. & POL’Y 281。  new window
3.Jackson, Howell E.、Pan, Eric J.(2008)。Regulatory Competition in International Securities Markets: Evidence From Europe - Part II。3 VA. L. & BUS. REV. 207。  new window
4.Lin,Yu-Iisin(2007)。Modeling Securities Class Actions Outside the United States: The Role of Nonprofits in the Case of Taiwan。4 N.Y.U. J.L. & BUS. 143。  new window
5.Chung, Dae Hwan(2004)。Introduction to South Korea’s New Securities-related Class Action。30 J. CORP. L. 165 L.。  new window
6.劉連煜(2006)。新證券交易法實例硏習。元照。new window  延伸查詢new window
7.謝易宏、黃鈵淳(2006)。證券求償之訴訟巧門。臺北:五南。  延伸查詢new window
8.Langevoort, Donald C.(2007)。On Leaving Corporate Executives “Naked,Homeless and Without Wheels': Corporate Fraud, Equitable Remedies, and the Debate Over Entity Versus Individual Liability。42 WAKE FOREST L. REV. 627。  new window
9.Behrens, Mark A.、Fowler,Gregory L.、Kim, Silvia(2008)。Global Litigation Trends。17 MICH. ST. J. INT’LL. 165。  new window
10.Mcoovern, Francis E.(1986)。Toward A Functional Approach for Managing Complex Litigation。53 U. CHI. L. REV. 440。  new window
11.Metcalf, Cherie(2004)。Litigating Environmental Quality: An Economic Approach。13 J. ENV. L. & PRAC. 293。  new window
12.Morabito, Vince(1995)。Federal Class Actions, Contingency Fees, and the Rules Governing Litigation Costs。21 MONASH U.L. REV. 231。  new window
13.Murphy, Bernard、Cameron, Camille(2006)。Access to Justice and the Evolution of Class Action Litigation in Australia。30 MELB. U. L. REV. 399。  new window
14.Rowe, Thomas D., Jr.(2003)。Shift Happens: Pressure on Foreign Attorney-Fee Paradigms from Class Actions。13 DUKE J. COMP. & INT’LL. 125。  new window
15.Thompson, Shelley(2007)。The Globalization of Securities Markets: Effects on Investor Protection。41 lNT’LLAW. 1121。  new window
16.Wang, Wallace Wen-Yeu、Chen, Jian-Lin(2008)。Reforming China’s Securities Civil Actions: Lessons from PSLRA Reform in the U.S. and Government-Sanctioned Non-profit Enforcement in Taiwan。21 COLUM. J. ASIAN L. 115。  new window
17.Watson, Garry D.(2001)。Class Actions: The Canadian Experience。11 DUKE J. COMP. & INT’LL.269。  new window
18.Weiss, Elliott J.、Beckerman, John S.(1995)。Let the Money Do the Monitoring: How Institutional Investors Can Reduce Agency Costs in Securities Class Actions。104 YALE L.J. 2053。  new window
19.Milhaupt, Curtis J.(2004)。Nonprofit Organizations as Investor Protection: Economic Theory and Evidence from East Asia。29 YALE J. INT’L L. 169。  new window
20.Cox, James D.、Thomas, Randall S.(2006)。Does the Plaintiff Matter? An Empirical Analysis of Lead Plaintiffs in Securities Class Actions。106 COLUM. L. REV. 1587。  new window
21.Friedlander, Lara(1995)。Costs and Public Interest Litigant。40 McGlLL L.J. 55。  new window
22.Rose, Amanda M.(2008)。Reforming Securities Litigation Reform: Restructuring the Relationship Between Public and Private Enforcement of Rule 10B-5。108 COLUM. L. REV. 1301。  new window
23.Rowe, Thomas D., Jr.(1982)。The Legal Theory of Attorney Fee Shifting: A Critical Overview。1982 DUKE L.J. 651。  new window
24.Waye, Vicki(2007)。Conflicts of Interests Between Claimholders, Lawyers and Litigation Entrepreneurs。19.1 BOND L. REV. 225。  new window
其他
1.Bloomenthal, Harold S.,Wolff, Samuel(n.d.)。Securities and Federal Corporate Law, 3B SEC. & FED. CORP. LAW § 13:54 (2d ed.)。  new window
2.Watson, Garry D.(2008)。Commentary on the Rules of Civil Procedure Rule 12 - Class Proceedings and Other Representative Proceedings。  new window
 
 
 
 
第一頁 上一頁 下一頁 最後一頁 top
:::
無相關著作
 
QR Code
QRCODE