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近一段时期以来,随着市场异常交易带来的违规交易形态和问题不断涌现,证券监管机构加强了对股市异常交易的监管力度,社会和市场对此议论纷纷,颇有分歧。梳理下来,主要的分歧点集中在以下四个问题:一是如何认识交易所在组织和监管市场中的作用,二是如何认识异常交易行为的本质和市场危害性,三是对异常交易行为是否要进行监管,四是在监管实践中如何合理界定异常交易
In recent days, with the emergence of irregular trading patterns and problems brought by abnormal market transactions, the securities regulatory agencies have stepped up their supervision over unusual transactions in the stock market. There are many disagreements on this issue in the society and the market. The main points of divergence focus on the following four questions: First, how to understand the role of exchanges in the organization and regulatory market, the second is how to recognize the nature of abnormal transactions and market hazards, the third is whether abnormal transactions Fourth, supervision of how to properly define abnormal transactions