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(公司治理)公司治理概述

(公司治理)公司治理概述
(公司治理)公司治理概述

目錄

1 前言 1

2 公司治理概述 1

2.1 定義 1

2.2 範圍 2

2.3 重要性 2

3 我國公司治理架構 3

3.1 公司治理相關法令規範 3

3.2 公司治理機制之設計 3

3.3 我國公司治理之特性 4

3.3.1 市場結構概述 4

3.3.2 所有權與經營權已漸分離之趨勢 4

3.3.3 企業集團的特性 5

3.3.4 企業交叉持股嚴重 5

3.3.5 海外投資的增加 6

3.3.6 散戶為主的特性 6

3.4 國內公司治理之重要議題7

4 公司治理之執行現況7

4.1 董事會7

4.1.1 組成8

4.1.2 職權8

4.1.3 制衡9

4.2 監察人10

4.2.1 組成10

4.2.2 職責11

4.2.3 獨立性11

4.2.4 制衡11

4.3 股東會12

4.3.1 股東的權利12

4.3.2 小股東之監督12

4.3.3 徵求委託書13

4.4 資訊透明化14

4.4.1 發行市場之資訊公開14

4.4.2 交易市場之資訊公開14

4.4.3 加強年報公司治理資訊揭露15

4.4.4 關係企業的資訊揭露16

4.4.5 資訊公開管道17

4.4.6 資訊揭露評鑑系統17

4.5 歸入權18

5 我國公司治理之發展方向19

5.1 導入獨立董事、獨立監察人制度19

5.2 制定公司治理實務守則20

5.3 公司法於2001 年大幅修訂,加強對公司治理之21

規範

5.3.1 增訂公司負責人「忠實義務」21

5.3.2 禁止母子公司交叉持股21

5.3.3 董事、監察人不以具有股東身分為必要22

5.3.4 放寬公開發行公司公告管道22

5.3.5 監察人得列席董事會陳述意見22

5.3.6 放寬股東提起代位訴訟的門檻22

5.4 建立獨立董監事人才資料庫23

5.5 加強董事、監察人於任期內之持續進修23

5.6 加強保障股東權措施23

5.7 健全公開收購制度24

5.8 揭露涉及不法行為之董事、監察人名單24

5.9 證期會公司治理推動小組工作重點24

6 證期會在推動公司治理中的角色25

6.1 推動上市上櫃公司建立獨立董事、監察人制度25

6.2 強化資訊揭露25

6.2.1 加速年度財務報告公開時點25

6.2.2 修正財務預測制度25

6.2.3 揭露員工紅利相關資訊26

6.3 強化企業會計制度26

6.3.1 召開分組會議改善會計制度26

6.3.2 不良債權出售損失應提列特別盈餘公積27

6.4 建立外部制衡機制27

6.5 內部控制制度及財務業務專案查核27

6.6 督促公司重視並落實執行公司治理28

6.7 制定「證券投資人及期貨交易人保護法」28

附錄一公開發行公司應公告或本會申報事項一覽表附錄二內部人短線交易歸入權案件概況表

Table of Content

1 Preface 1

2 Concept of Corporate Governance 1

2.1 Definition 1

2.2 Extent 2

2.3 Significance 2

3 Framework of Corporate Governance in Taiwan 2

3.1 Regulatory Scheme 3

3.2 Regulatory Device 3

3.3 Characteristics of Corporate Governance in Taiwan 3

3.3.1 Taiwan ' s Market Features 3

3.3.2 Trend of Separating Ownership and Control 3

3.3.3 Environment of Group Operation 5

3.3.4 Cross Shareholding Scenario 6

3.3.5 Development of Foreign Investment 6

3.3.6 Passive Role Play of Institutional Investor 7

3.4 Present Issue of Corporate Governance in Taiwan 8

4 Implementation of Corporation Governance 9

4.1 Board of Directors 9

4.1.1 Composition 9

4.1.2 Duties and Responsibilities 10

4.1.3 Mechanisms for Controlling Board 10

4.2 Supervisor (Supervisory Board) 12

4.2.1 Composition 12

4.2.2 Duties and Responsibilities 13

4.2.3 Independence 14

4.2.5 Mechanisms for Supervisors 14

4.3 Meeting of Shareholders 15

4.3.1 The Role of Shareholder 15

4.3.2 Minority Shareholders ' Monitoring 16

4.3.3 Proxy Solicitation 17

4.4 Disclosure and Transparency 17

4.4.1 Dissemination of the Primary Market Information 17

4.4.2 Disclosure of the Secondary Market Information 18

4.4.3 Corporate Governance Disclosure in Annual Report 18

4.4.4 Disclosure of Affiliated Corporations 20

4.4.5 Public Disclosure System 20

4.4.6 Information Disclosure Raking System 21

4.5 Disgorgement again Insider '-SswSinhgorPt rofit 22

5 Perspectives on Corporate Gover nance 22

5.1 In depe ndent Directors and In depe ndent Supervisors 23

5.2 Taiwan Corporate Governance Code 24

5.3 Reform of the Company Law and Good Corporate Governance 25

5.3.1 Duty of Loyalty 25

5.3.2 Abolishing the Limitation of Director or Supervisor as 25

Shareholders

5.3.3 No Cross-shareholdi ng among Affiliated Corporatio ns 25

5.3.4 Attendance of Supervisors in the Board of Directors 26

5.3.5 Improveme nt of Derivative Suit 26

5.3.6 Stre ngthe ning Public Disclosure System 26

5.4 Database for Independent Members 26

5.5 Orientation and Training of Directors and Supervisors 27

5.6 In vitati on to the Shareholder Meet ing. Proxies 27

5.7 Improve Admi nistrative Procedure of Ten der Offer 27

5.8 Publicize the Names of Directors and Supervisors with Illegal Acts 27

5.9 Possible Areas of Further Reform 28

6 The Role of SFC in Corporate Governa nee 29

6.1 Promoting the System of Independent Directors and Independent 29

Supervisors

6.2 Impro ving Tran spare ncy 29

6.2.1 Earlier Announ ceme nt of Annual Finan cial Reports 29

6.2.2 Amend the Regulations of Financial Forecasts 29

6.2.3 Disclosure the In formatio n of Employees Bonu ses 29

6.3 Upgrading Accounting System of Public Companies 30

6.3.1 Form a Reform Committee to Improve Acco un ti ng System 30

6.3.2 Set Aside Losses on Sale of Non-Performi ng Loa ns as 31

Special Reserve

6.4 In troduci ng More In stituti onal Inv estors 31

6.5 Enhancing Internal Control and Audit Systems of Public 31 Compa nies

6.6 Encourage Companies to Implement Corporate Governance 31

6.7 Enact “ Securities Investors and Futures Traders Protection Law32 Appe ndix I In formatio n Disclosure and Fili ng Requireme nts for Public

Companies

Appendix II List of Short-Swing Profit Disgorgement Against Insiders (1994-2003)

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