美国证券发行经典案例教程
作者:姚承曦 (作者), David A.Sirignano (作者)
出版:中国金融出版社 2012.11
页数:582
定价:58.00 元
ISBN-13:9787504966421
ISBN-10:7504966428
去豆瓣看看 Basic Objectives ofthe Securities Act of 1933:
Referred to as the "truth in securities" law, the Securities Act of 1933 has two basic objectives:
1.To require that investors receive financial and other significant information concerning securities being offered for public sale; and
2.To prohibit deceit, misrepresentations, and other firaud in the sale of securities.
——The Laws That Govern the Securities Industry: Securities Act of 1933.
Chapter 1. Securities Offerings: Registration Requirementand Exemptions
Chapter 2. Materiality and Civil Liability
Chapter 3. Underwriting and Statutory Underwriter
Chapter 4. Prospectus; Free Writing Prospectus; Illegal Offer
Chapter 5. Innovative Financial Products and Internet Offerings
姚承曦,现任中国广东汕头大学商学院金融与证券监管学教授。姚承曦在美国证券业工作近二十年,包括证券监管部门和证券业界工作经历。历任美国全国证券交易商协会(NASD)法律顾问处律师,纳斯达克股票市场(NASDAQ)国际市场法律顾问,纽约股票交易所(NYSE)券商监管部高级法律顾问,和纽交所国际部亚太地区(包括中国上市公司)和加拿大国家上市公司经理。在业界,姚承曦先后任大型综合型券商公司监察副总裁和资本市场法律顾问;其后在全球最大共同基金集团Fidelity Investments任国际资本市场监管副总裁。姚承曦的监管范围包括:证券零售市场、资本市场、投资管理、美国国内市场和国际市场。
姚承曦获美国波士顿学院法学院法学博士学位(Juris Doctor),乔治敦大学法学研究中心金融与证券监管学硕士学位(LLM in Securities and Financial Regulation)。期间获乔治敦优秀研究生奖,及全美法学院国际金融研究奖。此前,姚承曦在中华人民共和国获联合国译员训练班研究生文凭,英美文学硕士学位,及英文本科文凭。姚承曦的英文专著,“Stock Market and Futures Market in the People's Republic of China。”由牛津大学出版社在美国、英国及中国香港发行。
David A. Sirignano,is a partner in the Washington,D.C. office of Morgan Lewis & Bockius LLP,and Co-Head of the firm' s Securities Practice. Mr. Sirignano focuses on international and domestic corporate finance,mergers and acquisitions, and SEC regulation. He currently is a Vice-Chair of the Federal Regulation of Securities Committee of the American Bar Association,and previously was the Chair of the Corporate Reporting and Disclosure Subcommittee of the ABA Committee. He was Co-Chair of the ABA Task Force on Cross Border Offerings and Acquisitions. He has also served on the Corporate Finance Advisory Committee of FINRA.
Before joining the firm in 1999,he was Associate Director for International Corporate Finance in the United States Securities and Exchange Commission's Division of Corporation Finance. In that position,he developed SEC policy on cross-border offerings,acquisitions,and listings,including offshore Internet offerings,international disclosure and accounting standards,as well as international corporate governance guidelines. He also advised the SEC Division of Enforcement on financial fraud cases and cross-border offering abuses. Mr. Sirignano was an adjunct professor at Georgetown University Law Center,where he taught the Course on Mergers and Acquisitions.
由中国汕头大学商学院姚承曦教授和美国前联邦证券与交易委员会官员David Sirignano合著的Regulation of Securities Of ferings and Investment Banking:Casesand Materials for Study in U.S. Securities Act of 1933《美国证券发行经典案例教程》,从金融与监管的角度,系统并突出中国企业特色,介绍了美国证券发行市场的运行机制和监管理论。诚然,美国资本市场的监管体系不一定全面满足我国资本市场的需要。然而,知己知彼,百战不殆。作为全球第二大经济体的中国,要使更多的大型企业在国际经济领域纵横捭阖,促进更多的中小型企业成长壮大,实现国民经济持续高速增长,高效、健康和多层次的中国资本市场起的作用将举足轻重。研究和掌握美国资本市场的历史发展、运作与管理,乃为期望在国内外资本市场有所作为的我国学生所必修之课。
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