The Weaknesses in Handling Fraud in The Capital Market Practices
Abstract
The weaknesses of the legal substance relating to the handling of fraud in the Capital Market practices are fundamentally contained in the substance of Law Number 8 of 1995 on Capital Market ("UUPM"). Law enforcement has actually become one of the focuses of attention from law enforcers, such as in the case of state losses incurred due to fraudulent acts in the capital market committed by Perusahaan Gas Negara (PGN) is included in the criminal act of corruption because it indicates the elements of corruption. Officials at State-Owned Enterprises (SOEs) who commit fraud in accordance with the provisions can be categorized as corruption. Corrupt practices in the financial markets that cost the state large amounts of money have not gone unnoticed. Internationally, there is currently an effort to mainstream the financial sector into the jurisdiction of anti-corruption laws. This study concerns on the weaknesses of substance, structure, and legal culture regarding the handling of fraud in the Capital Market practices which is still lacking to overcome fraud related to the practices of Insider Trading.
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Regulations:
Law Number 8 of 1995 on Capital Market
Law Number 5 of 1999 on the Prohibition of Monopolistic Practices and Unfair Business Competition
Law No. 31 of 1999 as amended by Law No. 20 of 2001 on the Eradication of the Crime of Corruption
Law Number 2 of 2002 on Indonesian National Police
Law No. 30 of 2002 on the Corruption Eradication Commission
Law Number 17 of 2003 on state financial
Law Number 19 of 2003 on State-Owned Enterprises
DOI: http://dx.doi.org/10.30659/ldj.5.4.659-666
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