Sermaye Piyasası Hukukunda Yatırımcının Korunması İlkesinin Teorik Analizi
Öz
Anahtar Kelimeler
Sermaye piyasaları,yatırımcı,yatırımcının korunması,tüketici,kamuyu aydınlatma
Kaynakça
- A. Kuczynski, ‘Financial Redress-Complaints, Disputes, and Compensation’ M. Blair and G. Walker (eds), Financial Services Law (Oxford and New York: OUP, 2006)
- A.C. Page/R.B. Ferguson, Investor Protection (London: Weidenfeld and Nicolson, 1992)
- B. S. Black, ‘The Legal and Institutional Preconditions for Strong Securities Markets’ (2001) 48 UCLA Law Review
- C. Mayer, ‘Regulatory Principles and the Financial Services and Markets Act 2000’ E. Ferran and C. Goodhart (eds), Regulating Financial Services and Markets in the Twenty First Century (Oxford: Hart Publishing Ltd, 2001)
- Charles Goodhart ve diğerleri, Financial Regulation Why, how and where now? (London and New York: Routledge, 1998)
- D. Llewellyn, ‘The Economic Rationale for Financial Regulation’ (FSA Occasional Paper, Nisan 1999) ( http://www.fsa.gov.uk/pubs/occpapers/ OP01.pdf, son erişim 10 Temmuz 2010)
- David Graham and diğerleri, A Report by Justice, The Protection of the Small Investor (Cambridge: Justice, 1992)
- E. Ferran, Building an EU Securities Market (Cambridge: CUP, 2004)
- E.A. Welle, ‘Freedom of Contract and the Securities Laws: Opting Out of Securities Regulation by Private Agreement’ (1999) 56 Wash.& Lee L.Rev
- G. McMeel/J. Virgo, Financial Advice and Financial Products Law and Liability (Oxford and New York: OUP, 2001)