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证券市场上的侵权行为,是指证券市场参与人违反法律规定故意或因过失实施的侵害其他证券市场参与人合法权益的行为,统称为证券欺诈行为。根据1993年国务院发布的禁止证券欺诈行为暂行办法第二条的规定,证券欺诈行为包括证券发行、交易及相关活动中发生的内幕交易、操纵市场、欺诈客户、虚假陈述等行为。1999年生效的证券法
The infringement on the securities market means the acts of the securities market participants, who are intentionally or negligently implemented in violation of the law, that infringe the lawful rights and interests of participants in other securities markets, collectively referred to as securities fraud. According to Article 2 of the Provisional Measures for Banning Securities Fraud issued by the State Council in 1993, securities frauds include insider dealing in securities issuance, trading and related activities, market manipulation, customer fraud and false statements. Securities Act effective since 1999