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进入后股权分置时代,资本市场利益机制、运行规则和市场环境等方面的变革将对上市公司价值取向和行为模式产生深刻影响,从而给监管工作带来许多新的挑战。本文以全流通下上市公司及相关主体的行为变化为主线,对上市公司中小股东权益保护、大股东、高管人员以及信息披露、融资、并购等方面出现的新情况、新问题进行了分析研究,并结合监管实践提出了相应的对策建议。
After the entry into the era of split share structure, capital market interest mechanism, operating rules and market environment and other aspects of the reform will have a profound impact on the value orientation and behavior patterns of listed companies, which brings many new challenges to regulatory work. This article takes the change of behavior of listed companies and related parties under the circulation as the main line, and analyzes the new situation and new problems in the protection of the rights and interests of the minority shareholders of listed companies, the major shareholders, the senior executives, information disclosure, financing and M & A , And put forward corresponding countermeasures and suggestions according to the regulatory practice.