Reference: | 參考書目 一、中文書籍 1.王雲五編,雲五社會科學大辭典,第六冊,法律學(台灣商務印書館出版,民國六十五年九月)三版。 2.余雪明著,證券管理(台北:正中書局印行,民國七十二年)修訂本。 3.何孝元著,誠實信用原則與衡平法(台北:著者自版民國五十五年九月)初版。 4.林炳滄著,會計審計的理論與實務(台北:著者自版民國六十七年二月)。 5.施文森著,保險法論文第一集(台北:著者自版,民國七○年)第四版。 6.陳一騏著,美國會計學快速發展之分析暨我國會計興革之研究(台北:著者自版,民國七十一年三月)。 7.Walter B. Meigs,O. Ray Whittington and Robert F. Meigs, Principles of Auditing(1985) 8ed.,馮拙人譯,審計學原理(台北:大中國圖書公司,民國七十四年七月)第八版。 8.鄭玉波著,法學緒論(台北:三民書局,民國六十年二月)第八版。 9.中華民國會計師公會全國聯合會,會計師公會簡介(台北:全聯會編譯出版委員會,民國七十四年元月)。 10.____________,會計師功能與責任(台北:全聯會編譯出版委員會,民國七十四年六月)。 11.財團法人中華民國會計研究發展基金會,週年紀念(台北:民國七十五年元月)。
二、中文期刊 1.天下雜誌第一期~第五十八期,天下雜誌社編印,第五十八期於民國七十五年三月出版。 2.林山田撰,“論故意行為之違法性?軍法專刊第26卷第9期,頁8-12。 3.__________,“論重大過失,?軍法專刊第28卷第6期,頁10-12。 4. __________,“論過失犯罪,?政大法學評論第24期(民國七十年十二月)頁1-32。 5.會計師會訊第一期~第二十四期合訂本,中華民國會計師公會全國聯合會編譯出版委員會(民國七十二年六月出版)。 6.陳和慧撰,“論犯罪之故意,?軍法專刊第19卷第6期,頁22-32。 7. __________,“過失責任論,?軍法專刊第19卷第7期,頁18-26。 8.鄭丁旺撰,“會計師界的努力應獲社會肯定──從籌募會計學術基金會談起,?會計研究(台北:政大會研所,民國七十三年六月)第十九期,頁1-4。 9.鄭玉波撰,“論過失相抵與損益相抵之法理,?軍法專刊第25卷第8期,頁2-6。 10.賴源河著,“證券交易法之民事責任,?政大法學評論,第14期(民國六十五年十月)頁99-119. 11. __________ ,“公開書類虛偽不實之法律責任,?政大法學評論第20期(民國七十一年六月)頁119-139. 12. __________,“丸億公司案平議,?政大法學評論第28期(民國七十二年十二月)頁81-91.
三、其他中文資料 (一)未出版論文 1.林江典撰,審計性質與目的之研究,政大會研所碩士論文(民國七十四年六月)。 2.林美花撰,會計師法律責任之研究,政大會研所碩士論文(民國六十六年六月)。 3.張文祥撰,一般公認會計原則之研究,政大會研所碩士論文(民國六十六年六月)。 4.李明憲撰,我國會計師財務簽證評鑑問題之研究,政大會研所碩士論文(民國七十三年六月)。 5.陳俊卿撰,當前我國會計師財務簽證缺失之研究,政大會研所碩士論文(民國七十五年一月)。 6.陳惠卿撰,我國會計師社會形象之研究,政大會研所碩士論文(民國七十二年六月)。 7.陳耀連撰,現代審計成長與專業會計師制度之研究,政大會研所碩士論文(民國六十六年六月)。 8.潘遠增撰,會計師職業道德規範之研究,東吳大學會研所碩士論文(民國六十七年六月)。 9.劉杉涼撰,會計師職業道德之研究,政大會研所碩士論文(民國六十六年七月)。 10.盧聯生,中國會計發展史之探討,東吳大學會研所碩士論文(民國六十七年六月)。
(二)判決書 1.72年度訴字2151號 2.72年度訴字1077號 3.73年度訴字9675號 4.73年度上字3193號 5.73年度上訴字909號 6.74年度台上字2851號
(三)報紙 1.經濟日報,民國七十二年至民國七十四年。 2.工商時報,民國七十二年至民國七十四年。
四、英文書籍 1. AICPA, Codification of Statements on Auditing Standards Nos.1 to 44 (New York : AICPA, 1983). 2. American Law Institute, Restatement of Law of Torts (St. Paul: West Publishing Company, 1934). 3. Carmichael, D.R., The Auditor`s Reporting Obligation (New York : AICPA,1972). 4. Littleton, A.C., Accounting Evolution To 1900 (New York : Russell & Russell, 1973). 5. Loss, Louis, Securities Regulation (Boston: Little, Brown and Company, 1961). 6. Mautz, R.K. and Hussein A Sharaf, The Philosophy of Auditing, American Accounting Association Monograph No. 6 (Wisconsin : AAA, 1982) 11th pr. 7. Practicing Law Institute, Accountants` Liability: Litigation Strategies and Tacts, Course Handbook Series No. 89 (New York: PLI, 1977). 8. ______,Accountants` Liability 1977, Course Handbook Series No. 108 (New York : PLI, 1977). 9. Prosser, William L., Law of Torts (St. Paul: West Publishing Company, 1971) 4th. ed. 10. Willington, John J. and D.R. Cormichael, Auditing Concepts and Methods (New York: MoGraw-Hill Company, 1975) Rep. by Taipei: Southeast Book Company. 11. Windal, Floyd W. and Robest N. Corley, The Accounting Professional, Ethics, Responsibility and Liability (New Jessey: Prentice-Hall, Inc.,1980).
五、英文期刊 1. Barnickol, Karl R, Allan John Ross, Ronald O. Schowalter, and Michael J. Walters, "Accounting for Litigation and Claims," Journal of Accountancy (June 1985) pp. 56-68. 2. Causey, Denzil Y. Jr., "Foreseeability as a Deterninant of Audit Responsibility," Accounting Review vol. XLVII (April 1973) pp 258-267. 3. Chazen, Charles and Kenneth I. Solomon, "The Art of Defensine Auditing," Journal of Accountancy (October 1975) pp. 66-71. 4. Collins, Joseph P., "Professional Liability : the Situation Worsens," Journal of Accountancy (November 1985) pp. 57-66. 5. Defliese, Philip L., "The New Look` at the Auditor`s Responsibility for Fraud Detection," Journal of Accountancy (October 1962) pp. 36-44. 6. Ellingsen, John E. and Gary A. Rubin, "Auditing Developments," Journal of Accounting, Auditing and Finance (Winter 1986) pp. 76-82. 7. Isbell, David B., "The Continental Vending Cass : Lessons for the Profession," Journal of Accountancy (August 1970) pp. 33-40. 8 ._________, and D.R. Carmichael, "Disclaimers and Liability--The Rhode Island Trust Case, "Journal of Accountancy (April 1973) pp. 37-42. 9. Levy, Marvin M., "Financial Fraud : Schemes and Indicia," Journal of Accountancy (August 1985) pp. 78-87. 10. Linowes, David F., "The Accountant`s Enlarged Professional Responsibility,"Journal of Accountancy (February 1973) pp. 47-51. 11. Mednick, Robet, "The Auditor`s Role in Society: A New Approach to Solving the Perception Gap, "Journal of Accountancy (February 1986) pp. 70-74 . 12. Minow, Newton N., "Accountants` Liability and the Litigation Explosion," Journal of Accountancy (September 1984) pp. 70-86. 13. Moran, Mark and Gany John Previts, "The SEC and the Profession, 1934-84: The Realities of Self-Regulation," Journal of Accountancy (July 1984) pp. 68-80. 14. Olson, Norman O., "The Auditor in Legal Difficulty-What`s the Answer?" Journal of Accountancy (April 1970) pp. 39-44 . 15. Olson, Wallace E., "A Look at the Responsibility Gap," Journal of Accountancy (January 1975) pp. 52-57. 16. Pierre, Kent St. and James A. Anderson, "An Analysis of the Factors Associated with Lawsuits Against Public Accountants," Accounting Review vol. LIX (April 1984) pp. 242-263. 17. Reiling, Henry B and Russell A. Taussig, "Recent Lialility Cases-- Implications for Accountants," Journal of Accountancy (September 1970) pp. 39-53. 18. Schnepper, Jeff A., "The Accountant`s Lialility under Rule 10b-5 and Section 10(b) of the Securities Exchange Act of 1934: The Hole in Hochfelder,"Accounting Review Vol. LII (July 1977) pp. 653-657. 19. Schultz, Joseph J. Jr., and Kurt Pany, "The Independent Auditor`s Civil Liability- An Overview," Accounting Review vol. LV. (April 1980) pp. 319-326. 20. Serlin, Jerry E., "Auditing Developments: Fraud and the Auditor," Journal of Accounting, Auditing and Finance (Winter 1985) pp. 136-143. 21."Statement In Quotes--1136 Tenants Corporation v. Max Rothenberg & Company," Journal of Accountancy (November 1971) pp. 67 -73. 22. "Statement In Quotes-- The Litigation Explosion," Journal of Accountancy (Manch 1970) pp. 65 - 67. |