期刊論文1. | 林國全(1992)。證券交易法第一五七條之--內部人員交易禁止規定之探討。政大法學評論,45,259-303。 延伸查詢 |
2. | Davies, Paul L.(1991)。The European Comunity's Directive on Insider Dealing: From Company Law to Securities Market Regulation?。OXFORD J. LEGAL STUDIES,11,92。 |
3. | Gevurtz, Franklin A.(2002)。The Globalization of Insider Trading Prohibitions。Transnat'l Law,15,63。 |
4. | Hazen, Thomas Lee(1992)。Defining Illegal Insider Trading-Lessons from the European Community Directive on Insider Trading。LAW & CONTEMP. Probs.,55,231。 |
5. | Loke, Alexander F.(2006)。From the Fiduciary Theory to Information Abuse: The Changing Fabric of Insider Trading Law in the U.K., Australia and Singapore。American Journal of Comparative Law,54,123-172。 |
6. | Langevoort, Donald C.(1982)。Insider Trading and the Fiduciary Principle: A Post-Chiarella Restatement。CAL. L. REV.,70,1。 |
7. | Nagy, Donna M.(1998)。Refraining the Misappropriation Theory of Insider Trading Liability: A Post- O'Hagan Suggestion。OHIO ST. L. J.,59,1223。 |
8. | 賴英照(20050800)。內線交易的基礎理論。月旦法學,123,172-191。 延伸查詢 |
9. | 曾宛如(20090300)。建構我國內線交易之規範:從禁止內線交易所欲保護之法益切入。國立臺灣大學法學論叢,38(1),253-310。 延伸查詢 |
10. | Hansen, Jesper Lau(2002)。The New Proposal for a European Union Directive on Market Abuse。University of Pennsylvania Journal of International Economic Law,23,241。 |