:::

詳目顯示

回上一頁
題名:論證券主管機關在投資人求償道路上所能扮演的角色--以美國公平基金法制為中心
書刊名:東吳法研論集
作者:游志煌
作者(外文):Yu, Chih-huang
出版日期:2012
卷期:8
頁次:頁107-137
主題關鍵詞:民事救濟集體訴訟沙氏法案公平基金不法所得之返還民事懲罰金嚇阻不法損害補償投資人保護中心集體訴訟Private remedyClass actionSarbanes-Oxley ActFair fundDisgorgementCivil penaltyDeterrenceCompensation of damagesInvestor protection centerClass 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(0) 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:6
  • 點閱點閱:34
期刊論文
1.陳春山(20040600)。不實財務報告之民事責任法律適用爭議。證券暨期貨月刊,22(6),23-64。  延伸查詢new window
2.鄭子俊(20110800)。證券訴訟之治理--以訴訟出資者為中心。法學新論,31,97-133。new window  延伸查詢new window
3.Black, Barbara(2004)。Is Securities Arbitration Fair to Investors?。Pace L. Rew.,25,1。  new window
4.Black, Barbara(2008)。Should the SEC Bea Collection Agency for Defrauded Investors?。Bus. Law.,63,317+345。  new window
5.Cox, James D.、Thomas, Randall S.(2003)。SEC Enforcement Heuristics: An Empirical Inquiry。Duke Law Journal,53,737-779。  new window
6.Winship, Verity(2008)。Fair Fund and the SEC’s Compensation of Injured Investors。Fla. L. Rev.,60,1103+1114-1115。  new window
7.Zimmerman, Adam S.(2011)。Distributing Justice。N. Y. U. L. Rew.,86,500-572。  new window
8.游志煌(20041000)。主導私權證券訴訟之法制模型探討--律師驅策vs.非營利組織。月旦法學,113,150-174。new window  延伸查詢new window
9.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
10.Lin, Yu-Hsin(2007)。Modeling Securities Class Actions Outside the United States: The Role of Nonprofits in the Case of Taiwan。N.Y.U.J.L. & BUS.,4,143+180。  new window
11.Milhaupt, Curtis J.(2004)。Nonprofit Organization as Investor Protection: Economic Theoiy and Evidence from East Asia。YALE J. INT’L L.,29,169+170-174。  new window
12.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
13.Coffee, John C. Jr.(2010)。Litigation Governance: Taking Accountability Seriously。Columbia Law Review,110,288-351。  new window
研究報告
1.Bird, Joanna Mary(1950)。ASIC’s Role as Intervener: When Should the Regulator Intervene in Private Litigation, 1-4。  new window
2.SEC(2011)。Securities and Exchange Commission 2011 Annual Report--Performance and Accountability Report。  new window
圖書
1.Cox , James D.、Hillman, Robert W.、Langevoori, Donald C.(2006)。Securities Regulations。New York:Aspen Publishers, Inc.。  new window
2.Loss, Louis、Seligman, Joel(2004)。Fundamentals of Shcuritiesregulation。New York, U.S.A:Aspenfublisiihrs, Inc.。  new window
3.Coffee, John C. Jr.、Seligman, Joel(2003)。Securities Regulation。New York, U.S.A.:Foundation Press。  new window
其他
1.SEC(2003)。Report Pursuant to Section 308(c) of the Sarbanes-Oxley Act of 2002, 2-3,http://www.sec.gov/news/studies/sox308creport.pdf。  new window
 
 
 
 
第一頁 上一頁 下一頁 最後一頁 top
:::
無相關書籍
 
無相關著作
 
QR Code
QRCODE