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[美] 考克斯 著 / 中信出版社 / 2003-08 / 平装
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上书时间2022-10-02
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证券管理法:案例与资料
本书是美国哈佛、耶鲁等一流大学法学院广为推崇的证券管理法课程教学用书,作者均为有渊博理论知识和丰富实践经验的著名教授。本书系统地介绍了美国的证券监管制度,涵盖了证券管理法领域法律的、机构的主要内容及热点、难点问题。全书内容组织模块化,独立成章,大量问题和难点的提出支持苏格拉底式的教学方式。第三版反映了电子信息技术在证券交易中的新展,重点阐述了内幕交易、跨国证券欺诈、豁免交易、公募、二次分销等问题。
Contents Preface Acknowledgments Chapter 1 The Legal and Institutional Framework of Securities Regulation Chapter 2 Inquiries in to the Materiality of Information Chapter 3 The Definition of a Security Chapter 4 The Public Offering Chapter 5 Exempt Transactions Chapter 6 Secondary Distributions Chapter 7 Recapitalizations,Reorganizations,and Acquisitions Chapter 8 Exempt Securities Chapter 9 Liability Under the Securities Act Chapter 10 The Securities Exchange Act of 1934:Markets and Information Chapter 11 Fraud in Connetion with the Purchase or sale of a Secruity Chapter 12 The Enforcement of the Securities Laws Chapter 13 The Regulation of Insider Trading Chapter 14 Shareholder Voting and Going-Private Transactions Chapter 15 cORporate Takeovers Chapter 16 Regulation of the Securities Markets and Broker-Dealers Chapter 17 The Investment Advisers and Investment Company Acts of 1940 Chapter 18 Transnational Fraud and the Reach of U.S.Securities Laws Table of Cases Index
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