Crossref Citations
This Book has been
cited by the following publications. This list is generated based on data provided by Crossref.
Smith, Russell G.
and
Grabosky, Peter N.
2001.
Online Securities Fraud.
Journal of Financial Crime,
Vol. 9,
Issue. 1,
p.
54.
Wright, Robert E.
2002.
The Wealth of Nations Rediscovered.
Jovanovic, Franck
2002.
Instruments et théorie économiques dans la construction de la « science de la Bourse » d'Henri Lefèvre.
Revue d'Histoire des Sciences Humaines,
Vol. 7,
Issue. 2,
p.
41.
Rider, Barry A. K.
2003.
Financial regulation and supervision after 11th September, 2001.
Journal of Financial Crime,
Vol. 10,
Issue. 4,
p.
336.
Stringham, Edward
2003.
The extralegal development of securities trading in seventeenth-century Amsterdam.
The Quarterly Review of Economics and Finance,
Vol. 43,
Issue. 2,
p.
321.
Harris, Ron
2003.
The Encounters of Economic History and Legal History.
Law and History Review,
Vol. 21,
Issue. 2,
p.
297.
Floud, Roderick
and
Johnson, Paul
2004.
The Cambridge Economic History of Modern Britain.
O’Connell, Brendan T
2004.
Enron. Con: “He that filches from me my good name … makes me poor indeed”.
Critical Perspectives on Accounting,
Vol. 15,
Issue. 6-7,
p.
733.
Moloney, Niamh
2004.
Confidence and Competence: The Conundrum of EC Capital Markets Law.
Journal of Corporate Law Studies,
Vol. 4,
Issue. 1,
p.
1.
MATTLI, WALTER
and
BUTHE, TIM
2005.
Accountability in Accounting? The Politics of Private Rule-Making in the Public Interest.
Governance,
Vol. 18,
Issue. 3,
p.
399.
White, Eugene N.
2007.
The Crash of 1882 and the Bailout of the Paris Bourse.
Cliometrica,
Vol. 1,
Issue. 2,
p.
115.
Carruthers, Bruce G.
and
Halliday, Terence C.
2007.
Neoliberalism and Institutional Reform in East Asia.
p.
238.
Shea, Gary S.
2007.
Sir George Caswall Vs. The Duke of Portland: Financial Contracts and Litigation in the Wake of the South Sea Bubble.
SSRN Electronic Journal,
Shea, Gary S.
2009.
The Origins and Development of Financial Markets and Institutions.
p.
121.
Sylla, Richard
Wright, Robert E
and
Cowen, David J
2009.
Alexander Hamilton, Central Banker: Crisis Management during the U.S. Financial Panic of 1792.
Business History Review,
Vol. 83,
Issue. 1,
p.
61.
Hilt, Eric
2009.
Rogue Finance: The Life and Fire Insurance Company and the Panic of 1826.
Business History Review,
Vol. 83,
Issue. 1,
p.
87.
Büthe, Tim
2010.
Private Regulation in the Global Economy: A (P)Review.
Business and Politics,
Vol. 12,
Issue. 3,
p.
1.
Lu, Kai
2011.
The Institutional Transformation of China's Stock Exchanges.
SSRN Electronic Journal,
Wright, Robert E.
and
Sylla, Richard
2011.
Origins of Shareholder Advocacy.
p.
231.
Perino, Michael A.
2012.
Crisis, Scandal and Financial Reform During the New Deal.
SSRN Electronic Journal,