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題名:Information Disclosure, Risk Trading and the Nature of Derivative Instruments: From Common Law Perspective
書刊名:National Taiwan University Law Review
作者:Chen, Christophe Chao-hung
出版日期:2009
卷期:4:1
頁次:頁1-53
主題關鍵詞:DerivativesDuty of disclosureInformationInsider dealingUtmost good faith
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(2) 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:2
  • 共同引用共同引用:0
  • 點閱點閱:27
期刊論文
1.Kronman, Anthony T.(1978)。Mistake, Disclosure, Information, and the Law of Contracts。Journal of Legal Studies,7,1-34。  new window
2.Hirshleifer, J.(1971)。The Private and Social Value of Information and the Reward to Inventive Activity。The American Economic Review,61(4),561-574。  new window
3.Stout, L. A.(1999)。Why the Law Hates Speculators: Regulation and Private Ordering in the Market for OTC Derivatives。Duke Law Journal,48,701-786。  new window
4.Fischel, Daniel R.、Ross, David J.(1991)。Should the Law Prohibit "Manipulation" in Financial Markets?。Harvard Law Review,105(2),503-553。  new window
5.Schwartz, R. F.(2007)。Risk Distribution in the Capital Markets: Credit Default Swaps, Insurance and a Theory of Demarcation。Fordham Journal of Corporate and Financial Law,12(1),167-201。  new window
6.Bezzina, S.(2005)。The Protection Seller's Scylla and Charybdis: Negotiating the Moral Hazard Straits in ISDA -based Cash-settled Credit Default Swaps。Journal of International Banking Law & Regulation,20,600-605。  new window
7.Bowles, S.、Fox, D.(2007)。Credit Markets and Market Abuse。Journal of International Banking & Financial Law,22,209-210。  new window
8.Bradley, C.(2005)。Private International Law-making for the Financial Markets。Fordham International Law Journal,29,127-185。  new window
9.Ciro, T.(2005)。Game Theory in Financial Markets Litigation。Journal of International Banking Law & Regulation,20,315-324。  new window
10.Cohen, D. T.(2006)。Old Rule, New Theory: Revising the Personal Benefit Requirement for Tipper/Tippee Liability under the Misappropriation Theory of Insider Trading。Boston College Law Review,47,547-580。  new window
11.Davis, K. E.(2006)。Production of Boilerplate: The Role of Nonprofits in the Production of Boilerplate。Michigan Law Review,104,1075-1104。  new window
12.DeMott, D. A.(1994)。Do You Have the Right to Remain Silent?: Duties of Disclosure in Business Transactions。Delaware Journal Corporate Law,19,65-102。  new window
13.Eastebrook, F.(1981)。Insider Trading, Secret Agents, Evidentiary Privileges, and the Production of Information。Supreme Court Review,1981,309-365。  new window
14.Edwards, S.(2004)。The Law of Credit Derivatives。Journal of Business Law,17,617-655。  new window
15.Eisenberg, M. A.(2003)。Disclosure in Contract Law。California Law Review,91,1645-1691。  new window
16.Eppel, D.(2000)。Risky Business: Responding to OTC Derivative Crises。Columbia Journal of Transnational Law,40,677-703。  new window
17.Firth, S.(2006)。Self-referenced Credit Derivatives - Are They Enforceable under English Law?。Capital Markets Law Journal,1(1),21-31。  new window
18.Fuller, G.、Ranero, F.(2005)。Collateralised Debt Obligations。Journal of International Banking & Financial Law,20,343-351。  new window
19.Giddens, A.(1999)。Risk and Responsibility。Modern Law Review,62,1-10。  new window
20.Hasson, R. A.(1979)。The Doctrine of Uberrima Fides in Insurance Law: A Critical Evaluation。Modern Law Review,32,615-637。  new window
21.Karmel, R. S.(1993)。The Relationship between Mandatory Disclosure and Prohibitions against Insider Trading: Why a Property Rights Theory of Inside Information Is Untenable。Brooklyn Law Review,59,149-174。  new window
22.Krawiec, K. D.(2001)。Fairness, Efficiency, and Insider Trading: Deconstructing the Coin of the Realm in the Information Age。Northwestern University Law Review,95,443-503。  new window
23.Lawson, Gary(1988)。The Ethics of Insider Trading。Harvard Journal Law and Public Policy,11,727-783。  new window
24.Lee, I. B.(2002)。Fairness and Insider Trading。Columbia Business Law Review,2002,119-191。  new window
25.Loke, A. F.(2006)。From the Fiduciary Theory to Information Abuse: The Changing Fabric of Insider Trading Law in the UK, Australia and Singapore。American Journal Comparative Law,54,123-172。  new window
26.Lowry, J.、Rawlings, P.(2005)。Insurers, Claims and the Boundaries of Good Faith。Modern Law Review,68,82-110。  new window
27.Macey, J. R.(1988)。Comment: Ethics, Economics, and Insider Trading: Ayn Rand Meets the Theory of the Firm。Harvard Journal Law and Public Policy,11,785-804。  new window
28.Markham, J. W.(1988)。"Front-running" - Insider Trading under the Commodity Exchange Act。Catholic University Law Review,38,69-128。  new window
29.Perdue, W. C.(1987)。Manipulation of Futures Markets: Redefining the Offense。Fordham Law Review,56,345-402。  new window
30.Schoenbaum, T. J.(1998)。The Duty of Utmost Good Faith in Marine Insurance Law: A Comparative Analysis of American and English Law。Journal of Maritime Law and Commerce,29,1-39。  new window
31.Steyn, J.(1974)。Guarantees: The Co-extensiveness Principle。The Law Quarterly Review,90,246-271。  new window
32.Strudler, A.、Orts, E. W.(1999)。Moral Principle in the Law of Insider Trading。Texas Law Review,78,375-438。  new window
33.Strudler, A.(1997)。Moral Complexity in the Law of Nondisclosure。UCLA Law Review,45,337-384。  new window
34.Tarr, A. A.、Tarr, J. A.(2001)。The Insured's Non-disclosure in the Formation of Insurance Contracts: A Comparative Perspective。International & Comparative Law Quarterly,50,577-612。  new window
35.Yeo, H. Y.(2003)。Post-contractual Good Faith - Change in Judicial Attitude。Modern Law Review,66,425-425。  new window
36.Zhang, X.(2000)。Trends and Developments in Cross-border Securitisation, Part 1: Legal Structures and Analysis。Journal of International Banking & Financial Law,15,269-278。  new window
圖書
1.Fried, C.(1981)。Contract as promise。Cambridge, MA:Havard University Press。  new window
2.Das, Satyajit(2006)。Derivative Products & Pricing。Singapore:John Wiley & Sons。  new window
3.Henderson, S. K.(2003)。Henderson on derivatives。London:Lexis Nexis Butterworths。  new window
4.Rescher, N.(1983)。Risk: A Philosophical Introduction to the Theory of Risk Evaluation and Management。Lanham, MD:University Press of America。  new window
5.Cooter, Robert、Ulen, Thomas(2000)。Law and Economics。Addison-Wesley。  new window
6.Avgouleas, E.(2005)。The Mechanics and Regulation of Market Abuse。The Mechanics and Regulation of Market Abuse。USA。  new window
7.(1990)。Law Relating to Actionable Non-disclosure。Law Relating to Actionable Non-disclosure。  new window
8.Das, S.(2005)。Credit Derivatives: CDOs & Structured Credit Products。Credit Derivatives: CDOs & Structured Credit Products。  new window
9.Das, S.(2006)。Structured Products, Volume 2: Equity; Commodity; Credit & New Markets。Structured Products, Volume 2: Equity; Commodity; Credit & New Markets。  new window
10.Markham, J. W.(1986)。The History of Commodity Futures Trading and Its Regulation。The History of Commodity Futures Trading and Its Regulation。  new window
11.Matthews, B. C.(1996)。Derivatives, Fiduciary Obligations and Codes of Conduct。Swaps and Off-exchange Derivatives Trading: Law and Regulation。  new window
12.Tarr, J. A.(2002)。Disclosure and Concealment in Consumer Insurance Contracts。Disclosure and Concealment in Consumer Insurance Contracts。  new window
13.Treitel, G.(2007)。The Law of Contract。The Law of Contract。  new window
其他
1.Karlgaard, R.(2005)。Winning - It's All about Information。  new window
 
 
 
 
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