China's listed companies: conflicts, governance and regulation
Gespeichert in:
1. Verfasser: | |
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Format: | Buch |
Sprache: | English |
Veröffentlicht: |
Alphen aan den Rijn [u.a.]
Wolters Kluwer, Law & Business [u.a.]
2015
|
Schriftenreihe: | International banking and finance law series
25 |
Schlagworte: | |
Online-Zugang: | Inhaltsverzeichnis |
Beschreibung: | Literaturverz. S. 357-373 und Index |
Beschreibung: | XXIV, 389 S. Ill., graph. Darst. |
ISBN: | 9789041159250 9041159258 |
Internformat
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100 | 1 | |a Sheng, Jin |d 1971- |e Verfasser |0 (DE-588)1074157257 |4 aut | |
245 | 1 | 0 | |a China's listed companies |b conflicts, governance and regulation |c Jin Sheng |
264 | 1 | |a Alphen aan den Rijn [u.a.] |b Wolters Kluwer, Law & Business [u.a.] |c 2015 | |
300 | |a XXIV, 389 S. |b Ill., graph. Darst. | ||
336 | |b txt |2 rdacontent | ||
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490 | 1 | |a International banking and finance law series |v 25 | |
500 | |a Literaturverz. S. 357-373 und Index | ||
650 | 4 | |a Recht | |
650 | 4 | |a Corporation law |z China | |
650 | 4 | |a Stock exchanges |x Law and legislation |z China | |
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Datensatz im Suchindex
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adam_text | TABLE OF CONTENTS
FOREWORD XV
PREFACE XVII
LIST OF ABBREVIATIONS XIX
LIST OF TABLES XXI
LIST OF FIGURES XXIII
CHAPTER 1
AN OVERVIEW OF CHINA S STOCK MARKET 1
§1.01 AN OVERVIEW OF CHINA S MARKET FOR CORPORATE CONTROL 1
§1.02 SLICED AND DICED STOCK MARKETS IN CHINA 6
§1.03 SPLIT SHARE STRUCTURE REFORM 9
§ 1.04 GUO JIN MIN TUI AFTER THE GLOBAL FINANCIAL CRISIS 10
[A] THE DEBATE OVER GUO JIN MIN TUI 10
[B] THE SUPERVISION AND ADMINISTRATION AUTHORITY OF SOES 12
[C] CASE ONE: RESTRUCTURING COAL INDUSTRY IN SHANXI PROVINCE 13
[D] CASE: MENGNIU (HK, 02319) AND HUIYUAN (HK, 01886) 14
[E] FROM GUO JIN MIN TUI TO A DIVERSIFIED OWNERSHIP ECONOMY 15
CHAPTER 2
OUTLINE 17
§2.01 PARTICIPANTS IN CHINA S CORPORATE CONTROL MARKET 17
[A] STATE-OWNED LISTED COMPANIES (CS) 17
[B] FAMILY CONTROLLED LISTED COMPANIES (CMS) 18
[C] INSTITUTIONAL INVESTORS 19
[DJ MINORITY SHAREHOLDERS 19
§2.02 LEGAL REFORM OF LMLEP 20
TABLE OF CONTENTS
§2.03 RESEARCH METHODOLOGY 23
[A] LAW AND ECONOMICS 23
[B] CASE STUDIES 23
[C] COMPARATIVE STUDIES 24
[D] INTERVIEWS 24
[E] DATA COLLECTION 24
§2.04 OUTLINE 25
[A] SECTION ONE: INTRODUCTION AND BACKGROUND 25
[B] SECTION TWO: PARTICIPANTS IN CORPORATE CONTROL TRANSACTIONS IN
CHINA 25
[C] SECTION THREE: THE PERSPECTIVES OF LEGISLATION AND LAW
ENFORCEMENT 26
[D] SECTION FOUR: CONCLUSION 27
CHAPTER 3
CHINA S STATE-OWNED LISTED COMPANIES: CONFLICT OF INTERESTS AND
INSTITUTIONAL
SETTINGS 29
§3.01 INSTITUTIONAL SETTING 1: TRANSFORMATION OF OWNERSHIP STRUCTURE 30
[A] OWNERSHIP AND CONTROL 31
[B] CONTROLLING SHAREHOLDER S ROLE: EXPROPRIATION VIEW V.
MONITORING VIEW 34
[C] THE CONFLICT OF INTERESTS: PRIVATE BENEFITS OF CONTROL V.
PUBLIC BENEFITS OF CONTROL 36
§3.02 INSTITUTIONAL SETTING 2: FROM STATE TO MARKET : SHARE ISSUE
PRIVATIZATIONS 38
[A] GOVERNMENT S DEEP INVOLVEMENT 39
[B] HOW TO TRADE NON-TRADABLE SHARES : THE ROLE OF GOVERNMENT
AS THE INVISIBLE HAND, HELPING HAND OR GRABBING HAND 41
§3.03 INSTITUTIONAL SETTING 3: TWO THIRDS PRIVATIZATION AND THE SPLIT
SHARE
STRUCTURE REFORM 43
§3.04 INSTITUTION SETTING 4: THE ASSET PRICING ISSUE FOR A-SHARES 47
[A] THE STARTING POINT: THE PRICE DIFFERENCE BETWEEN TRADABLE
SHARES (TS) AND NON-TRADABLE SHARES (NTS) 47
[B] STATE-OWNED ASSET PRICING CRITERIA FOR CHINA S LISTED
COMPANIES 49
[C] THE LIQUIDITY, LIQUIDITY PREMIUM AND PRICE DIFFERENCES IN
DIFFERENT MARKETS 50
[D] CONTROL PREMIUMS IN TAKEOVER BIDS 53
[E] ASSET PRICING AND CONTROL PREMIUMS IN MBOS 54
[F] ASSET PRICING AND PREMIUMS IN AGREEMENT TAKEOVERS AND
RESTRUCTURING 54
[G] SUMMARY 55
§3.05 INSTITUTIONAL SETTING 5: MANAGEMENT DISCIPLINARY MECHANISM OF
CORPORATE TAKEOVERS 56
§3.06 CONCLUSION 58
VI
TABLE OF CONTENTS
CHAPTER 4
FAMILY CONTROLLED LISTED COMPANIES: CMS IN GROUP AFFILIATES 61
§4.01 INTRODUCTION 62
§4.02 CMS IN CHINA*S FAMILY CONTROLLED LISTED COMPANIES 65
[A] CMS: THE SEPARATION OF CONTROL AND VOTING RIGHTS 65
[B] CHINA S FAMILY CONTROLLED LISTED COMPANIES 67
§4.03 PYRAMID STRUCTURE: THE CASE OF D LONG 70
[A] THE PYRAMID STRUCTURE: A FOUR-TIER MODEL 70
[B] THE CASE OF D LONG 74
§4.04 CROSS-SHAREHOLDING: THE CASE OF ZHANG GUANG AFFILIATE 77
[A] THE CASE OF ZHONG GUANG AFFILIATE 78
[1] RAPID EXPANSION 79
[2] CAPITAL CHAIN 79
[3] BUSINESS OPERATION 80
[B] EVOLUTION OF CHINA S CROSS-SHAREHOLDING COMPANIES 81
§4.05 CONCLUSION 83
CHAPTER 5
INSTITUTIONAL INVESTORS 85
§5.01 AN OVERVIEW OF CHINA S EMERGING INSTITUTIONAL FUND INDUSTRY 86
§5.02 THE ERA OF ZHUANGGU (1997-2004) 87
[A] SECURITIES INVESTMENT FUND COMPANIES 88
[B] SECURITIES COMPANIES 88
[C] INVESTMENT FUNDS 90
[D] PRIVATE EQUITY 92
[E] TRUST INVESTMENT COMPANIES 95
[F] THE MARKET MANIPULATOR OR MAINTAINER OF STOCK MARKET STABILITY 98
[1] CASES CONCERNING INSIDER TRADING AND MARKET MANIPULATION
DURING THE ZHUANGGU ERA 99
[2] THE CASE OF ZHONG KE CHUANG YE: THE FIRST CASE
CONCERNING MARKET-PRICE MANIPULATION 101
[3] THE CASE OF CHINA ECONOMIC DEVELOPMENT TRUST AND
INVESTMENT CORPORATION: MANIPULATING STOCK PRICES OF
DONGFANG DIANZI AND YIN GUANG XIA 102
[4] THE CASE OF GUANGDONG YORKPINT S&TCO,, LTD
(YI AN SCIENCE & TECHNOLOGY, 000008) 104
§5.03 VALUE INVESTMENT AND HERDING (2002-2014) 105
[A] PENSION FUNDS/SOCIAL INSURANCE FUNDS 107
[B] QFII AND RQFII 109
[C] STRATEGIC INVESTORS 114
[D] VALUATION ADJUSTMENT MECHANISM: HAIFU INVESTMENT V.
GANSU SHIHENG 116
[E] HERDING 117
[F] WHAT TRIGGERED CHINA S 2007 BULL MARKET? 120
VN
TABLE OF CONTENTS
§5.04 QUANTITATIVE INVESTMENT AFTER 2010 123
[A] THE CASE OF EVERBNGHT (2013) 123
[B] OTHER FINANCIAL TOOLS 124
§5.05 INSTITUTIONAL ACTIVISM AND ITS PRACTICES IN CHINA 125
[A] INSTITUTIONAL INVESTOR ACTIVISM V. INSTITUTIONAL PASSIVITY 125
[B] CASES CONCERNING SHAREHOLDER ACTIVISM 127
§5.06 THE CONTROVERSIAL ROLE OF INSTITUTIONAL INVESTORS IN INVESTOR
PROTECTION 131
CHAPTER 6
MINORITY SHAREHOLDERS 133
§6.01 BETTER THAN A CASINO? : A SPECULATIVE MARKET 133
[A] TUNNELING AND EXPROPRIATING MINORITY SHAREHOLDERS 134
[B] ONE SHARE, ONE VOTE AND EQUAL SHARE, EQUAL RIGHTS 135
§6.02 TUNNELING AND EXPROPRIATING MINORITY SHAREHOLDERS BY LARGE
SHAREHOLDERS 136
[A] TUNNELING ASSETS, PROFITS AND/OR RESOURCES OUT OF LISTED
COMPANIES 137
[B] TUNNELING THROUGH RELATED PARTY TRANSACTIONS 138
[C] TUNNELING THROUGH MISAPPROPRIATION 139
[D] TUNNELING EARNINGS MANAGEMENT 141
[E] TUNNELING DIVIDENDS 142
[F] TUNNELING THROUGH SALES OF CONTROL BLOCKS WITHOUT EQUAL
TREATMENT AMONG SHAREHOLDERS 143
[G] TUNNELING THROUGH REFINANCING 144
[H] TUNNELING CONTROL BENEFITS THROUGH CORPORATE RESTRUCTURING 145
[I] EXECUTIVE REMUNERATION 146
[J] MANAGEMENT BUYOUTS (MBOS) IN CHINA: HUAI JU WEI ZHI L 147
[K] DILUTING EQUITY 148
[L] TUNNELING THROUGH ACQUISITIONS OF ST COMPANIES 149
§6.03 AFFILIATED GROUP IN CHINA 150
[A] THE CASE OF GREENCOOL: THE COLLAPSE OF A CAPITAL MANIPULATOR 151
[B] LIST OF GROUP AFFILIATES 152
§6.04 INSIDER CONTROL ARISING FROM CONTROLLING SHAREHOLDERS 168
[A] BOARD INDEPENDENCE 169
[ 1 ] THE GENERAL MEETING OF SHAREHOLDERS 169
[2] THE SUPERVISORY BOARD 171
[3] INDEPENDENT DIRECTORS 172
[B] BOARD COMPOSITION 173
§6.05 STRONG CONTROLLING SHAREHOLDERS, WEAK MINORITY SHAREHOLDERS :
GAME THEORY 174
[A] CONTROLLING SHAREHOLDERS VERSUS MINORITY SHAREHOLDERS 174
[B] GAME THEORY 176
VIII
TABLE OF CONTENTS
CHAPTER 7
EVOLUTION OF CSRC S IPO SYSTEM (1992-PRESENT) 181
§7.01 THE REGULATOR: CSRC 181
§7.02 EVOLUTION OF CHINA S IPO APPROVAL SYSTEM (1992-PRESENT) 183
[A] IPO EXAMINATION COMMITTEE (IEC) 183
[B] CSRC S IPO EXAMINATION SYSTEMS (1993-2014) 185
[1] STAGE 1: QUOTA MANAGEMENT (1993-1995) 186
[2] STAGE 2: INDEX MANAGEMENT (FROM 1996 TO 2000) 187
[3] STAGE 3: CHANNEL SYSTEM (FROM 2001 TO 2004) 187
[4] STAGE 4: SPONSOR SYSTEM (FROM 2004 TO 2014) 188
§7.03 REGULATORY CONTROL OVER THE IPO PRICING SYSTEM 189
[A] FIXED IPO PRICE (FROM 1991 TO 1998) 190
[B] INQUIRY PRICING (1999-2004) 191
[C] BOOK BUILDING (2005-PRESENT) 192
§7.04 REGULATORY CONTROL OVER THE P/E RATIO: POLICY OF DISCOUNT WINDOW
193
§7.05 REGULATORY CONTROL OVER SECURITIES RATION/ALLOTMENT 194
[A] THE CALL WARRANTS (PRIOR TO 1995) 194
[B] TWO METHODS OF UNLIMITED ISSUING OF APPLICATION FORMS - FULL
AMOUNT IN ADVANCE PAYMENT AND SAVING DEPOSIT-INVOLVED
METHOD 195
[1] FULL AMOUNT IN ADVANCE PAYMENT 195
[2] SAVINGS METHOD 196
[3] ONLINE PRICING ISSUANCE OF STOCKS BY THE FIXED PRICE 196
[4] PROCEDURE OF ONLINE SUBSCRIPTION 197
[C] PRICE INQUIRY SYSTEM 198
§7.06 WINDOW INSTRUCTIONS ON ISSUANCE RHYTHM 199
§7.07 SPONSORSHIP 199
[A] DOUBLE SPONSORSHIP 200
[B] THE CASE OF SHENG TING SHAN HE (2010) 201
§7.08 ISSUANCE AND UNDERWRITING 202
CHAPTER 8
EXCHANGE POLICY AND OPENNESS OF STOCK MARKET 203
§8.01 FINANCIAL LIBERALIZATION: TWO SIDES OF A COIN 203
§8.02 A QUARANTINED ECONOMY IN THE 1997 ASIAN FINANCIAL CRISIS AND THE
DEBATE OVER THE RMB REVALUATION 206
[A] JAPAN S FINANCIAL REGIME 207
[B] HONG KONG, SINGAPORE, AND TAIWAN 207
[C] KOREA 208
[D] THAILAND, MALAYSIA, INDONESIA, AND PHILIPPINES 208
[E] DEBATE OVER THE RMB EVALUATION 209
§8.03 THE CHANGING EXCHANGE RATE MECHANISM AND GRADUAL RMB
APPRECIATION (1994-2013) 210
IX
TABLE OF CONTENTS
§8.04 LARGE-SCALE ECONOMIC STIMULI AND RMB VALUATION PARADOX - RMB S
EXTERNAL APPRECIATION AND INTERNAL DEPRECIATION 217
§8.05 INTERACTION BETWEEN THE RMB REVALUATION AND FLUCTUATIONS OF STOCK
MARKET 223
§8.06 BUBBLES TO BURST: LESSONS FROM THE JAPAN EXPERIENCE 225
CHAPTER 9
INVESTOR PROTECTION: A PERSPECTIVE OF LAWMAKING 227
§9.01 THE CURRENT LEGAL FRAMEWORK OF CORPORATE TAKEOVERS 227
[A] THE CURRENT LEGAL FRAMEWORK OF TAKEOVERS IN CHINA 228
[1] GENERAL LAWS CONCERNING CORPORATE TAKEOVERS 228
[2] ADMINISTRATIVE REGULATIONS 228
[3] SELF-REGULATORY RULES 231
[4] JUDICIAL INTERPRETATIONS 232
[B] TWO PARADIGMS: THE U.S. MODEL AND U.K. MODEL 234
[1] THE AMERICAN MODEL: REGULATORY STRUCTURE IN THE UNITED
STATES 234
[2] THE BRITISH MODEL: REGULATORY STRUCTURE IN THE U.K. 235
[C] INCOMPLETE LAW 235
§9.02 THE FIDUCIARY DUTY OF CONTROLLING SHAREHOLDERS 239
[A] DEFINITION OF CORPORATE CONTROL 240
[B] DEFINITION OF CONTROLLING SHAREHOLDERS 241
[C] ESTABLISHMENT OF CONTROLLING SHAREHOLDERS FIDUCIARY DUTY 243
[D] FIDUCIARY DUTY OF CONTROLLING SHAREHOLDERS UNDER THE CURRENT
CHINESE LAW 244
[E] CRITERIA FOR VIOLATING FIDUCIARY DUTY OF CONTROLLING
SHAREHOLDERS: U.S. TESTS 245
[1] THE BUSINESS JUDGMENT RULE : PARAMOUNT
COMMUNICATIONS, INC VERSUS QVC NETWORK, INC. 245
[2] THE UNOCAL TEST: UNOCAL CORP. VERSUS MESA PETROLEUM CO. 246
[3] THE REVLON RULE: REVLON INC. VERSUS. MACANDREWS FORBES
HOLDING INC. 246
§9.03 THE INTRODUCTION OF APPRAISAL RIGHTS OF THE DISSENTERS 247
[A] ORIGIN OF APPRAISAL RIGHTS 247
[B] MARKET-OUT EXCEPTION 248
[C] RELATED CHINESE LEGISLATION 249
[D] HISTORICAL DETERMINATIONS OF FAIR VALUE 251
[ 1 ] THE DELAWARE BLOCK METHOD 252
[2] THE DISCOUNTED CASH FLOW METHOD (DCF) 252
[3] THE COMPARABLE COMPANY METHOD 252
[4] THE THIRD-PARTY SALES VALUE 253
[5] CAPITAL CASH FLOW (CCF) VALUATION 253
§9.04 INSIDER TRADING 253
[A] VIEWPOINTS FOR/AGAINST INSIDER TRADING 254
TABLE OF CONTENTS
[B] HOW TO DEFINE INSIDER INFORMATION 255
[C] THE DEFINITION OF AN INSIDER 256
[D] HOW TO DEFINE INSIDER TRADING 260
§9.05 INSTITUTIONAL FRAMEWORKS TO IMPROVE VOTING RIGHTS OF MINORITY
SHAREHOLDERS 261
[A] PROXY SOLICITATION 261
[B] CUMULATIVE VOTING SYSTEM 262
[C] CLASSIFIED VOTING SYSTEM 263
[D] VOTING TRUST SYSTEM 263
[E] RESTRICTIONS ON LARGE SHAREHOLDERS VOTING RIGHTS 264
[F] ELIMINATION OF LARGE SHAREHOLDERS VOTING RIGHTS IN AFFILIATED
TRANSACTIONS 265
[G] INTERNET VOTING SYSTEM 266
[H] VOTING AGREEMENTS 266
[I] COMPARISON OF VARIOUS VOTING SYSTEMS 266
[J] SUMMARY: THE ABUSE OF MAJORITY CAPITAL PRINCIPLE AND
ONE SHARE, ONE VOTE 268
§9.06 BOARD VETO 269
[A] EASTERBROOK AND FISHER: THE PASSIVE ROLE OF BOARD VETO 269
[B] DEBATES AFTER EASTERBROOK AND FISHEL 269
[C] PROPER ROLE OF MANAGEMENT OF TARGET COMPANIES IN HOSTILE
TAKEOVERS 271
§9.07 TAKEOVER DISCLOSURE SYSTEM 272
§9.08 TAKEOVERS BY AGREEMENT AND THE RELEVANT REGULATION 273
[A] SUBSTANTIAL AND PROCEDURAL STIPULATIONS ON AGREEMENT
TAKEOVERS 274
§9.09 CONTROL PREMIUMS: TO BE SHARED OR NOT? 275
CHAPTER 10
CHINA S SECURITIES WATCHDOG 277
§10.01 THE POLICY-DRIVEN STOCK MARKET IN CHINA 277
[A] USING GOVERNMENT POLICY TO INSTRUCT THE STOCK INDEX ON A HIGHLY
CONCENTRATED AND GOVERNMENT-CONTROLLED MARKET (1992-2005) 278
[B] TWO-THIRD PRIVATIZATION - THE SPLIT SHARE STRUCTURE REFORM
(2005-2011) 281
[C] WHAT IS A POLICY-DRIVEN MARKET? 285
[D] EXTERNALITY OF GOVERNMENT INTERVENTION: THE CASE OF XIAOSHI
WANS
286
§10.02 IMBALANCE BETWEEN PUBLIC ENFORCEMENT AND PRIVATE ENFORCEMENT 288
[A] THE REGULATOR: CSRC 288
[B] JUDICIAL ENFORCEMENT VERSUS ADMINISTRATIVE ENFORCEMENT 290
[1] JUDICIAL REVIEW 291
[2] HAINAN KAILI CENTRAL DEVELOPMENT & CONSTRUCTION CO., LTD.
VERSUS CSRC 292
[C] GOVERNMENT REGULATION VERSUS SELF-REGULATION 294
XI
TABLE OF CONTENTS
[1] THE SHANGHAI STOCK EXCHANGE AND THE SHENZHEN STOCK
EXCHANGE 295
[2] THE SECURITIES ASSOCIATION OF CHINA (SAC) 296
[3] THE CHINA SECURITIES INVESTOR PROTECTION FUND CO., LTD. 296
§10.03 THE RECENT REFORMS OF THE CSRC 298
[A] IPO ISSUANCE SYSTEM REFORM 298
[B] GRADUAL DEREGULATION OF SECURITIES INDUSTRY 299
[C] TRANSITION FROM THINKING MUCH OF BEFOREHAND APPROVAL TO
AFTERWARDS SUPERVISION 300
§10.04 CONCLUSION 302
CHAPTER 11
THE ROLE OF PEOPLE S COURTS IN PRIVATE SECURITIES LITIGATION: PASSIVE
COURTS
AND WEAK INVESTOR PROTECTION 303
§11.01 INVESTOR PROTECTION IN CHINA: A RIGHT WITHOUT ADEQUATE REMEDY ?
303
[A] THE COURTS WEAK ROLE 305
[B] INADEQUATE ENFORCEMENT 308
[C] SELECTIVE ENFORCEMENT 310
[D] INEFFECTIVE ENFORCEMENT 311
[E] INEFFICIENT ENFORCEMENT 313
§11.02 SELECTED REMEDIES FOR MINORITY SHAREHOLDERS 315
[A] PROCEDURAL REMEDY: SHAREHOLDER DERIVATIVE ACTIONS 315
[B] PROCEDURAL REMEDY: CLASS ACTION VERSUS GROUP LITIGATION 317
[C] INVERSION OF THE BURDEN OF PROOF 319
[D] SETTLEMENT AS A DISPUTE RESOLUTION 320
§ 11.03 PRIVATE LITIGATION OF SECURITIES DISPUTES 323
[A] PRIVATE LITIGATION OF FALSE STATEMENTS 323
[1] PROCEDURAL PREREQUISITE AND JURISDICTION 324
[2] THE DEFENDANTS 325
[3] PRINCIPLES OF LIABILITY 325
[4] CAUSATION BETWEEN FALSE STATEMENT AND LOSS 326
[5] CALCULATION OF INVESTOR DAMAGES RELATED TO FALSE
STATEMENTS 328
FB] PRIVATE LITIGATION OF INSIDER TRADING 332
[C] PRIVATE LITIGATION OF MARKET MANIPULATION 334
§ 11.04 ENHANCING JUDICIAL GOVERNANCE OF PRIVATE SECURITIES LITIGATION
336
[A] JUDICIAL ENFORCEMENT VERSUS ADMINISTRATIVE ENFORCEMENT 336
[B] JUDICIAL REVIEW: A MEANS TO RESTRICT ADMINISTRATIVE POWER 338
[C] JUDICIAL INTERPRETATION 339
[D] JUDICIAL INDEPENDENCE 341
§11.05 CONCLUSION 345
CONCLUSION 347
SELECTED BIBLIOGRAPHY 357
XII
TABLE OF CONTENTS
TABLE OF CASES 375
TABLE OF STATUTES 377
INDEX 387
XIII
|
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author | Sheng, Jin 1971- |
author_GND | (DE-588)1074157257 |
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ctrlnum | (OCoLC)906797004 (DE-599)BVBBV042957619 |
format | Book |
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id | DE-604.BV042957619 |
illustrated | Illustrated |
indexdate | 2024-07-10T07:13:43Z |
institution | BVB |
isbn | 9789041159250 9041159258 |
language | English |
lccn | 015372585 |
oai_aleph_id | oai:aleph.bib-bvb.de:BVB01-028383518 |
oclc_num | 906797004 |
open_access_boolean | |
owner | DE-M382 |
owner_facet | DE-M382 |
physical | XXIV, 389 S. Ill., graph. Darst. |
publishDate | 2015 |
publishDateSearch | 2015 |
publishDateSort | 2015 |
publisher | Wolters Kluwer, Law & Business [u.a.] |
record_format | marc |
series | International banking and finance law series |
series2 | International banking and finance law series |
spelling | Sheng, Jin 1971- Verfasser (DE-588)1074157257 aut China's listed companies conflicts, governance and regulation Jin Sheng Alphen aan den Rijn [u.a.] Wolters Kluwer, Law & Business [u.a.] 2015 XXIV, 389 S. Ill., graph. Darst. txt rdacontent n rdamedia nc rdacarrier International banking and finance law series 25 Literaturverz. S. 357-373 und Index Recht Corporation law China Stock exchanges Law and legislation China International banking and finance law series 25 (DE-604)BV021464333 25 SWB Datenaustausch application/pdf http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=028383518&sequence=000001&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA Inhaltsverzeichnis |
spellingShingle | Sheng, Jin 1971- China's listed companies conflicts, governance and regulation International banking and finance law series Recht Corporation law China Stock exchanges Law and legislation China |
title | China's listed companies conflicts, governance and regulation |
title_auth | China's listed companies conflicts, governance and regulation |
title_exact_search | China's listed companies conflicts, governance and regulation |
title_full | China's listed companies conflicts, governance and regulation Jin Sheng |
title_fullStr | China's listed companies conflicts, governance and regulation Jin Sheng |
title_full_unstemmed | China's listed companies conflicts, governance and regulation Jin Sheng |
title_short | China's listed companies |
title_sort | china s listed companies conflicts governance and regulation |
title_sub | conflicts, governance and regulation |
topic | Recht Corporation law China Stock exchanges Law and legislation China |
topic_facet | Recht Corporation law China Stock exchanges Law and legislation China |
url | http://bvbr.bib-bvb.de:8991/F?func=service&doc_library=BVB01&local_base=BVB01&doc_number=028383518&sequence=000001&line_number=0001&func_code=DB_RECORDS&service_type=MEDIA |
volume_link | (DE-604)BV021464333 |
work_keys_str_mv | AT shengjin chinaslistedcompaniesconflictsgovernanceandregulation |