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面对连续三年下跌的股票市场,在2003年,中国证监会首次提出“整合监管资源,构建综合监管体系,增强监管合力”的监管思路,并表示要坚持改革的力度、发展的速度与市场的承受程度相统一,坚持监管职能和监管方式与市场发展的要求相适应。顺着这种思路,中国证券市场法制建设的重点也从立法转移到法律的执行上了。从2003年颁布和执行的法律、法规、规章和规范性文件以及其执行的效果上考察,证券市场的法治观念已经
Faced with the falling stock market for three years in a row, in 2003 CSRC first proposed the regulatory concept of “integrating regulatory resources, building a comprehensive regulatory system and strengthening regulatory cooperation” and stated that we must uphold the speed of reform and development And the degree of market unification, adhere to the regulatory functions and regulatory requirements and market development to adapt. Along this line of thought, the focus of the legal system construction in China’s securities market has also shifted from legislation to the enforcement of laws. Examining the laws, regulations, rules and normative documents promulgated and implemented in 2003 and the effects of their implementation, the concept of the rule of law in the securities market has been reviewed