次贷危机后我国证券市场监管有效性研究.pdfVIP

次贷危机后我国证券市场监管有效性研究.pdf

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目 录 1. 导言······························································································1 1.1 研究的背景以及选题的意义························································1 1.1.1 研究背景········································································1 1.1.2 研究的意义·····································································2 1.2 文献综述················································································2 1.3 论文的结构·············································································5 1.3.1 研究的内容·····································································5 1.3.2 研究的方法·····································································6 1.4 创新与不足·············································································6 2. 证券市场监管有效性理论分析·····························································8 2.1 证券市场监管有效性基本理论及有效性理论 ··································8 2.1.1 证券市场监管有效性基本理论·············································8 2.1.2 证券市场有效性理论·························································9 2.2 证券市场监管有效性的影响因素 ···············································11 2.2.1 信息披露制度································································11 2.2.2 股本结构······································································11 2.2.3 投资者结构···································································12 2.2.4 监管制度与立法·····························································12 2.3 证券市场有效性传导过程·························································13 2.3.1 证券市场监管有效性传导机制的定义和特征·························13 2.3.2 证券市场监管有效性的传导过程········································14 2.4 证券市场有效性监测方法及指标 ···············································15 2.4.1 证券市场弱式有效的检

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