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证券法实施十多年来,伴随着我国经济体制改革的深化和与国际经济一体化市场机制的逐步对接,证券法实施的环境发生了一些变化,证券法的执法环境与范围、犯罪的识别与控制、交易的机制与风险、监管的定位与规范、对实体经济的作用困境等都遇到了一些挑战。一些学者对证券法的法律环境、内容重构、风险识别、犯罪防止、机制完善、监管强化、经验借鉴等均作了有益的探讨。一、证券相关立法的修改与完善(一)立法《中华人民共和国证券投资基金法》已由中华人民共和国第十一届全国人民代表大会常务委员会第三十次会议于2012年12月28日修订通过,自2013年6月1日起施行。
With the deepening of China’s economic reform and the gradual docking with the market mechanism of international economic integration, the securities law has undergone some changes in the environment for its implementation over the past 10 years. The environment and scope of the enforcement of securities laws, the identification of crimes and Control and trading mechanisms and risks, regulatory positioning and norms, the role of the real economy dilemma encountered some challenges. Some scholars have made useful discussion on the legal environment, content reconstruction, risk identification, crime prevention, perfecting of mechanisms, strengthening supervision and experience learning of securities law. I. Amendment and Improvement of Securities-related Legislation (I) Legislation The People’s Republic of China Securities Investment Funds Law was amended by the 30th Meeting of the Standing Committee of the Eleventh National People’s Congress of the People’s Republic of China on December 28, 2012 Passed, effective June 1, 2013.