Author: Supervision I Bureau of the China Securities Regulatory Commission
Publisher:
Publish Date: 2004-01-01
Features: This case study is part of the China Securities Regulatory Commission's efforts to strengthen market supervision, combat illegal and irregular activities in securities and futures, and effectively protect the legitimate rights and interests of investors. The book includes case analyses of eleven sections, such as false disclosure cases, fraudulent issuance cases, and stock price manipulation cases.
Analysis of Typical Cases of Securities and Futures Supervision (1993-2000 Volume)
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