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随着我国社会主义市场经济的不断发展,证券在金融市场发挥着越来越重要的作用。信息披露问题是证券市场的核心问题,我国《证券法》对此设计了较为严密的法律规范。但实践中,屡屡有人触碰法律的底线,扰乱证券市场的交易秩序,给社会带来不利影响。文章基于对《证券法》第八十六条关于信息披露义务的理解,通过中国证监会对上海精熙投资发展中心、夏宁、王征等5名责任人员的行政处罚的案例,阐明《证券法》对信息披露义务的相关规定和相关的行政责任。
With the continuous development of our socialist market economy, securities play an increasingly important role in the financial market. The issue of information disclosure is the core issue of the securities market. China’s “Securities Law” has designed more stringent legal norms. However, in practice, people often touch the bottom line of law, disrupting the trading order in the stock market and adversely affecting the society. The article is based on the understanding of Article 86 of the Securities Law on the obligation of information disclosure and through the case of the administrative penalty imposed by China Securities Regulatory Commission on the five responsible personnel of Shanghai Jingxi Investment and Development Center, Law "on the disclosure obligations of the relevant provisions and related administrative responsibilities.