The implementation of the EU Prospectus Directive (2003/71/EC)(the ‘Directive’) has resulted in significant changesand new opportunities for many issuers of securities in theEuropean Capital Markets. The Directive and its subordinatelegislation, Commission Regulation (EC) No 809/2004 (the ‘EURegulation’) requires, as did the previous EU legislation,that a prospectus, containing certain required disclosure, beapproved by an EEA competent authority and published beforesecurities are offered to the public or admitted to an EEA-regulatedmarket. But, in doing so, it introduces important changes thatwill, its architects hope, result in a more active cross-borderretail market in securities within the EEA. These changes includea common language regime, under which, in cross-border situations,an English language version of the prospectus will normallybe valid for admission to regulated markets or a public offeranywhere in the EEA, thus avoiding expensive and time-consumingmultiple translations. It also provides . . . [Full Text of this Article]   1. Introduction2. French highlightsApproval of the prospectusScopeContent of prospectusesRisk factorsLanguageResponsibility for prospectusesPublicationInformation to be provided within prospectuses3. Summary   1. Introduction2. Scope of application of the securities Prospectus Act3. ‘Frequent issuer exemption’4. Publication rules5. Prospectus supplement and investor withdrawal right6. Summary   1. Introduction2. Implementation3. Competent authorityListing rules/prospectus rulesUnregulated offers4. Responsibility/liability5. Summary   1. Introduction2. Implementation3. National variations from the Directive4. Practical impact5. Summary   1. Introduction2. Regulatory framework3. Luxembourg Prospectus Directive options4. Public offers of securities5. Summary   1. Introduction2. Definition of ‘security’3. Concept of ‘offer’4. Supplemental prospectus and withdrawal rights5. Published prospectus identical to approved prospectus6. Six days rule7. Language8. Public offer exemption9. Summary   1. Introduction2. The RDL 53. The CNMV notice4. The RD 13105. The order 35376. Summary   1. Introduction2. Standardized prospectus content requirements3. The Official List of the FSA (the ‘Official List’)4. Official List eligibility requirements5. The Alternative Investment Market (‘AIM’)6. Withdrawal rights7. Draft prospectuses8. Qualified investor exemption9. Summary  相似文献   
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Experimenting with public sector innovation: Revisiting Gow for the digital era     
Carey Doberstein  Étienne Charbonneau 《Canadian public administration. Administration publique du Canada》2020,63(1):7-33
In 1988, James Iain Gow surveyed public servants across Canada on how they access and utilize research from various sources and how that is linked to policy innovation. He documented this research in his book Learning from Others (1994). Thirty years later, we replicate selected parts of the original survey conducted by Gow, but also add an experimental dimension that tests how subjects respond to public service innovations from around the world. We randomly alter key features of those innovations to examine if public servants reveal patterns in the way they process these innovations and make judgements about their suitability or promise.  相似文献   
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Presence of fecal material in diapers as a potential source of error in estimations of postmortem interval using arthropod development rates.     
M L Goff  S Charbonneau  W Sullivan 《Journal of forensic sciences》1991,36(5):1603-1606
Second instar larvae of the fly Chrysomya megacephala (Diptera, Calliphoridae) were recovered from the diapers of a 16-month-old child abandoned by her mother on Oahu, Hawaii. The development of these larvae indicated a minimum period of 23.5 h of exposure prior to discovery of the child. Larvae of this species of fly are not normally associated with living tissues in Hawaii, but rather with feces and remains during the early stages of decomposition. Had the child in this case died and data not been provided detailing the site of infestation, the postmortem interval estimated would have been significantly longer than was actually the case, because of the development of the larvae inside the diapers of the living child. The need for caution in cases involving deaths of infants, the elderly, and individuals not capable of caring for themselves is stressed.  相似文献   
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Trust and inter‐firm relations in developing and transition economies     
John Humphrey  Hubert Schmitz 《发展研究杂志》2013,49(4):32-61
The role of trust in facilitating economic growth has been highlighted in previous contributions to this journal. In order to take this debate forward, this article argues (1) that more attention needs to be given to the relationship between sanctions and trust, and (2) that it is worth distinguishing between the minimal trust for making markets effective and the extended trust required for deeper kinds of inter‐firm co‐operation to work. The article goes on to ask why minimal trust is lacking and so hard to construct in the republics of the former Soviet Union. It then examines how extended trust grows or can be made to grow in industrial supply chains and clusters in developing countries.  相似文献   
50.
No Country for the Market: The Regulation of Finance in Germany after the Crisis     
Hubert Zimmermann 《German politics》2013,22(4):484-501
The severity with which the financial crisis struck Germany in 2008 came as a shock to German elites. The relatively traditional shape of its bank-based financial system was supposed to isolate the country from the vagaries of Anglo-Saxon capitalism. Instead, the government was forced to unprecedented steps, such as the de facto nationalisation of banks and an unlimited guarantee on savings deposits. A comprehensive reform of financial regulation in the country seemed imperative. This article evaluates change in the institutional structure of financial sector regulation and supervision in Germany. The inconclusive debate about the reorganisation of financial supervision, the emergence of new regulation in the field of bank restructuring, and the attempted reform of the deposit insurance system are used as empirical cases. It is argued that the constraints of the German political system impeded the comprehensive reform that might have been expected after a major shock. Instead, a pattern of institutional layering was perpetuated which contains the germs of future dysfunctions.  相似文献   
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41.
Abstract

As the 1990–1991 Gulf crisis unfolded, leaders of the UN coalition against Iraq became increasingly concerned about the possibility of terrorism accompanying the initiation of hostilities with Baghdad. Such concerns were reinforced by Iraqi warnings and by Baghdad's long association with international terrorist movements. Ultimately, however, the Iraqis proved unable to make effective use of terrorism to support their war effort. This failure resulted for a variety of reasons including effective counterterrorism measures by the allies. Additionally, a number of other nations with terrorist linkages pressured their terrorist clients to refrain from helping Saddam Hussein. They did this for reasons of their own that nevertheless supported allied strategy. Finally, the Iraqis’ lack of any precrisis preparation for terrorist action meant that they were simply unable to mount more than a few ineffective operations.  相似文献   
42.
Juristische Blätter - Beweismittel iSd § 147 Abs 1 Z 1 StGB ist grundsätzlich alles, was dazu dienen kann, jemanden von der Wahrheit oder Unwahrheit einer Tatsachenbehauptung zu...  相似文献   
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Dr. Axel Gehringer HengelerMueller David Byers McCann FitzGerald, Solicitors, Dublin, Ireland Stefano Cuccia Head of Regulation, TLX, Milan Henri Wagner Allen and Overy, Luxembourg Petra Zijp NautaDutilh, Amsterdam José Manuel Cuenca and Yolanda Azanza Clifford Chance Daniel Bushner and Jonathan Parry Ashurst, London The first 150 words of the full text of this article appear below.
   Editor's Note    France    Germany    Ireland    Italy    Luxembourg    Netherlands    Spain    United Kingdom
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