Reference: | 一、中文文獻(按作者姓名筆劃排列) (一)專書論著 1.方嘉麟等合著,閉鎖性股份有限公司逐條釋義 2.王文宇,公司法論,元照,修訂五版 3.柯芳枝,公司法論,三民,修訂七版 4.賴英照,最新證券交易法解析:股市遊戲規則,三民,修訂三版 5.劉連煜,現代公司法,新學林,修訂十二版 6.劉連煜,新證券交易法實例研習,元照,修訂十四版
(二)期刊專論 1.方嘉麟、林郁馨,複數表決權股之立法政策分析─以台灣及香港為例,月旦民商法雜誌,2016年6月 2.王文宇,從股權結構論公司治理法制,月旦民商法雜誌,第15期,2005年12月 3.林國全,特別股之收回,月旦法學教室,第57期,頁30,2005年 4.林寶人,台灣上市櫃家族企業與公司績效,會計學報,第3卷第1期,2010年11月,頁53-82 5.黃銘傑,「股東」平等原則vs.「股份」平等原則─初探股東平等原則復權之必要性及可行性,月旦民商法雜誌,第31期,頁12-13,2011年3月 6.高蘭芬、陳振遠、李焮慈,資訊透明度及席次控制權與盈餘分配權偏離對公司績效之影響—以台灣電子業為例,台灣管理學刊,第6卷第2期,2006年8月,頁81-105。 7.汪青松、趙萬一,股份公司內部權力配置的結構性變革─以股東「同質化」假定到「異質化」現實的演進為視角,現代法學,2011年第3期 8.蔡英欣,股東表決權分配之規範模式,台大法學論叢,第38卷第2期,2009年6月,頁89 9.劉連煜,阿里巴巴上市與公司治理,月旦法學教室,第151期,頁26,2015年5月 (三)學位論文 1.林艾淳,從力霸案論企業利益輸送之防免,國立台北大學法律學系碩士論文,民國101年7月
(四)其他 1.方嘉麟、朱德芳,商業發展研究院委託計畫,公司籌資法制研究期末報告,2015年6月 2.高菲、周林彬,上市公司雙層股權結構與投資者權利保護,21世紀商法論壇第十五屆國際學術研討會,頁440
二、英文文獻(按作者姓名英文字母順序排列) 1.Douglas C. Ashton, Revisiting Dual-Class Stock, 68 ST. JOHN’S L. REV. 863 (1994) 2.European Commission, Proposal for a Directive of the European Parliament and of the Council amending Directive 2007/36/EC 3.European Corporate Governance Forum, Paper of the European Corporate Governance Forum Working Group on Proportionality, June 2007 4.European Commission External Study by ISS, Sherman &Sterling and ECGI, Report on the Proportionality Principle in the European Union, 2006 5.Frank H. Easterbrook & Daniel R. Fischel, The Economic Structure of Corporate Law at 67-69 (1991) 6.Hong Kong Exchanges and Clearing Limited, Weighted Voting Rights Concept Paper 7.Hong Kong Exchanges and Clearing Limited, Consultation Conclusion to Concept Paper on Weight Voting Rights, June 2015 8.IRRC Institute & ISS, Controlled Companies in the Standard & Poor’s 1500: A Follow-up Review of Performance & Risk, March 2016 9.Jeffrey N. Gordon, Ties that Bond: Duel Class Common Stock and the Problem of Shareholder Choice, 76 Cal. L. Rev. 1 (1988) 10.Klaus J. Hopt, ‘Corporate Governance in Europe: A Critical Review of the European Commission`s Initiatives on Corporate Law and Corporate Governance’ (Aug. 14, 2015), at 26. European Corporate Governance Institute (ECGI) - Law Working Paper No. 296/2015. 11.Lucian Aye Bebchuk, Reinier Kraakman & George Triantis, Stock Pyramids, Cross-Ownership and Dual Class Equity: The Mechanisms and Agency Costs of Separating Control from Cash-Flow Rights, in Concentrated Corporate Ownership 295, 301-306 (Randall K. Morck, ed., 2000). 12.Mara Faccio and Larry H.P. Lang, The Ultimate Ownership of Western European Corporations, 65 J. FIN. ECON. 365, 366 (2002) 13.OECD, Lack of Proportionality between Ownership and Control: Overview and Issues for Discussion, December 2007 14.Rafael La Porta, Florencio Lopez-de-Silanes, & Andrei Shleifer, Corporate Ownership Around the World, 54 J. FIN. 471, 511 (1999). 15.Report of the High Level Group of Company Law Experts on takeover bids, January 2002 16.Stephen M. Bainbridge, The Short Life and Resurrection of SEC Rule 19C-4, 69 Wash. U. L. Q. 565 (1991) 17.Stijn Claessens, Simeon Djamkov & Larry H.P. Lang, The Separation Ownership and Control in East Asian Coporations, 58 J. FIN Econ. 81 |