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학술논문

투자은행과 이해상충

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영문명
Conflicts of Interest in the New Investment Banking Industry in Korea
발행기관
한국사법학회(구 한국비교사법학회)
저자명
김화진(Hwa-Jin Kim)
간행물 정보
『비교사법』比較私法 제14권 제3호(상), 33~91쪽, 전체 59쪽
주제분류
법학 > 법학
파일형태
PDF
발행일자
2007.09.29
9,880

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1:1 문의
논문 표지

국문 초록

영문 초록

  The Korean National Assembly has enacted the so-called ‘Capital Market Integration Act’ in July 2007. This new law consolidates seven capital market-related laws into single body of statute. Starting from early 2009, Korean securities companies would be able to offer asset-management services to their clients, and vice versa. The purpose of the law is to enhance the ability of Korean financial institutions through the abolition of the walls created for each financial service so that they can compete with global investment banking firms.
  One of the hot issues in the legislative process was the conflicts-of-interest. Korean securities firms already suffer from serious conflicts-of-interest problems in their operations under the current regime. If they are allowed to expand their areas of business into the asset management, the problem would be worsened.
  This paper briefly introduces the mechanism that the new law adopts to cope with such concern. And, then this paper studies the experiences of the United Kingdom where elaborate legal regime to control the conflicts-of-interest has been evolving since long time ago. This paper also looks into the conflicts-of-interest problems particularly in terms of the mergers and acquisitions business of investment banks. The new law would promote the mergers and acquisitions business of the Korean securities companies, and the advanced wisdom of the foreign jurisdictions would be needed.
  This paper concludes with the remark that the new law not only enhances the opportunity for Korean financial institutions but also increases risks involved in the enlarged operation of the securities as well as asset management businesses. The ethical standards of the Korean financial institutions should be upgraded as the market practice under the new law develops in full scale.

목차

Ⅰ. 머리말
Ⅱ. 투자은행의 업무영역
Ⅲ. 현행법령 상 이해상충 문제의 규율
Ⅳ. 이해상충 문제의 해결에 관한 영국의 제도와 경험
Ⅴ. 기업인수와 투자은행의 이해상충
Ⅵ. 이해상충과 투자은행의 충실의무
Ⅶ. 맺는 말
【참고문헌】
[Abstract]

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APA

김화진(Hwa-Jin Kim). (2007).투자은행과 이해상충. 비교사법, 14 (3(상)), 33-91

MLA

김화진(Hwa-Jin Kim). "투자은행과 이해상충." 비교사법, 14.3(상)(2007): 33-91

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