David Bourget (Western Ontario)
David Chalmers (ANU, NYU)
Rafael De Clercq
Jack Alan Reynolds
Learn more about PhilPapers
Business Ethics 6 (3):147–152 (1997)
“Economic man does not ask himself ethical questions”. Yet securities trading inevitably raises many ethical issues, and ethical behaviour may be restricting and costly. Drawing on his economics background and his executive experience in the insurance and pension investment industry, as well as supervisory positions on the European Option Exchange, Dr Goslings analyses the securities markets and their structure, and explores their moral strengths and weaknesses in The Netherlands and elsewhere, before offering some practical recommendations.
|Keywords||No keywords specified (fix it)|
|Categories||categorize this paper)|
Setup an account with your affiliations in order to access resources via your University's proxy server
Configure custom proxy (use this if your affiliation does not provide a proxy)
|Through your library|
References found in this work BETA
No references found.
Citations of this work BETA
No citations found.
Similar books and articles
Robert W. McGee (2008). Applying Ethics to Insider Trading. Journal of Business Ethics 77 (2):205 - 217.
Steven R. Salbu (1992). A Critical Analysis of Misappropriation Theory in Insider Trading Cases. Business Ethics Quarterly 2 (4):465-477.
Robert E. Frederick & W. Michael Hoffman (1990). The Individual Investor in Securities Markets: An Ethical Analysis. [REVIEW] Journal of Business Ethics 9 (7):579 - 589.
Khalil M. Torabzadeh, Dan Davidson & Hamid Assar (1989). The Effect of the Recent Insider-Trading Scandal on Stock Prices of Securities Firms. Journal of Business Ethics 8 (4):299 - 303.
Andreas R. Prindl & B. Prodhan (eds.) (1994). Ethical Conflicts in Finance. Blackwell Finance.
Allen M. Parkman, Barbara C. George & Maria Boss (1988). Owners or Traders: Who Are the Real Victims of Insider Trading? Journal of Business Ethics 7 (12):965 - 971.
Michael P. Coyne & Janice M. Traflet (2008). Ethical Issues Related to the Mass Marketing of Securities. Journal of Business Ethics 78 (1-2):193 - 198.
John M. Clark, Linda Ferrell & O. C. Ferrell (2003). Conflicts of Interest Arising From the Prudent Investor Rule: Ethical Implications for Over-the-Counter Derivative Securities. [REVIEW] Journal of Business Ethics 47 (2):165 - 173.
Mohammad Abdolmohammadi & Jahangir Sultan (2002). Ethical Reasoning and the Use of Insider Information in Stock Trading. Journal of Business Ethics 37 (2):165 - 173.
Added to index2009-01-28
Total downloads15 ( #120,123 of 1,410,209 )
Recent downloads (6 months)1 ( #155,456 of 1,410,209 )
How can I increase my downloads?