《证券监管法论》以经济学、民商法学、经济法学的基本理论为指导,立足我国证券监管法律制度的发展历史与现状,从宏观理论和具体制度两个层面对证券监管法律制度进行了系统而深入的探讨。本书在理论上为建立较为完备的证券监管法理论体系和制度框架奠定了深厚的基础,在实践中对我国目前正在修订的《证券法》和正在起草的“上市公司监管条例”具有重要的参考价值。与此同时,本书对中国证监会等政府监管机构和证券业协会、证券交易所等自律监管机构规范日常监管行为具有参考和指导作用,对证券市场其他主体更好地行使权利和承担义务也具有重要指导意义。《证券监管法论》对于我国证券法的现实立法,在精准度上具有重要的理论指导意义和实用价值,对正在起草的《上市公司监管条例》具有重要的参考价值,同时,对目前正在修订的《证券法
This book is drafted in a style of common law textbook, just like those using in the law schools of U.S.A., but with typical Chinese securities cases and laws. It covers the general introduction of Chinese securities laws on securities issuance, transactions, institutions, regulatory and legal liabilities for illegal practices. In each section, after the introductions of specific rules and rationale, a case is followed with summary of facts, ruling of the courts. Sothe readers may have an oversight to Chinese securities laws and the students can learn therelevant laws through cases method. I want to send this book to my wife Xu Xiaoxia as a gift to celebrate our loving time of20 years. And thank the intemational students studying the Master Program in Chinese Law of Beijing Normal University. Sincerely appreciate helps from the editors of University of International Business and Economics Press.