| 期刊論文1. | Stuant, David M.。The Sarbanes-Oxley Act: Advancing the SEC's Ability to obtain foreign Audit Documentation in Accounting Fraud Investigation。Columbia Business Law Review,74。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 2. | Becker, David M.(2002)。New Ethical Duties for Lawyers under the Sarbanes-Oxley Act。The Corporate & Securities Law Advisor,16。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 3. | Franze, Laura M.。The Whistleblower Provisions of the Sarbanes-Oxley Act of 2002。The Corporate & Securities Law Advisor,16,1。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 4. | Kelson, Mark(2002)。New Requirements and Responsibilities for Audit Committees。The Corporate & Securities Law Advisor,16,8。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 5. | Romeo, Peter J.(2002)。Section 906 Certification。The Corporate & Securities Advisor,16。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 會議論文1. | 龍田節(1997)。日本證券法律責任制度。中國證券監督管理委員會。407+410+412+420。 延伸查詢![new window](/gs32/images/newin.png) | 圖書1. | 賴英照(1991)。證券交易法逐條釋義。 延伸查詢![new window](/gs32/images/newin.png) | 2. | McKinsey & Company(2002)。Global Investor Opinion Survey: Key Findings。New York, NY:McKinsey & Company。 ![](/gs32/thssjcncl/image/nclsfx.gif) ![new window](/gs32/images/newin.png) | 3. | 余雪明(2000)。證券交易法。財團法人中華民國證券暨期貨市場發展基金會。 延伸查詢![new window](/gs32/images/newin.png) | 4. | 堀ロ亘(1986)。証券取引法概説。 延伸查詢![new window](/gs32/images/newin.png) | |