Crossref Citations
This article has been cited by the following publications. This list is generated based on data provided by
Crossref.
Asongu, Simplice A
2014.
Fresh Patterns of Liberalization, Bank Return and Return Uncertainty in Africa.
SSRN Electronic Journal,
Jackson, Patrick Thaddeus
2015.
Causal Claims and Causal Explanations in International Studies.
SSRN Electronic Journal,
Wang, Kun
and
Sun, Duoyong
2015.
Research on the Shanghai Cooperation Organization Network Architecture from the Big Data Perspective.
p.
1208.
Abdelal, Rawi
2015.
The multinational firm and geopolitics: Europe, Russian energy, and power.
Business and Politics,
Vol. 17,
Issue. 3,
p.
553.
Denahy, Michael
2015.
Hayek, the limits of knowledge and regulating the global financial system.
Griffith Law Review,
Vol. 24,
Issue. 2,
p.
266.
Hinterleitner, Markus
and
Rosser, Christian
2015.
Regulation and the Management of Expectations—Rating Agencies Revisited.
European Policy Analysis,
Vol. 1,
Issue. 2,
p.
71.
Stefanescu, Razvan
and
Dumitriu, Ramona
2015.
Alegerea Soluuiilor Pentru Expunerile Faaa De Risc (Choosing Solutions to Risk Exposures).
SSRN Electronic Journal,
Stefanescu, Razvan
and
Dumitriu, Ramona
2015.
Conninutul Managementului Riscurilor Din Afacerile Internaaionale (The Essentials of Risk Management in International Business).
SSRN Electronic Journal,
Braun, Benjamin
2015.
Governing the future: the European Central Bank’s expectation management during the Great Moderation.
Economy and Society,
Vol. 44,
Issue. 3,
p.
367.
Rischbieter, Julia Laura
2015.
Risiken und Nebenwirkungen.
Geschichte und Gesellschaft,
Vol. 41,
Issue. 3,
p.
465.
Giannacourou, Maria
Kantaraki, Maroula
and
Christopoulou, Vasiliki
2015.
The Perception of Crisis by Greek SMEs and its Impact on Managerial Practices.
Procedia - Social and Behavioral Sciences,
Vol. 175,
Issue. ,
p.
546.
Hall, Steven R.
2015.
Emerging Trends in the Social and Behavioral Sciences.
p.
1.
Nelson, Stephen C.
2015.
Paper Entanglements: Why (and How) Keynes’s Ideas about Sovereign Debt Still Matter.
Challenge,
Vol. 58,
Issue. 6,
p.
492.
Gandrud, Christopher
and
Pepinsky, Thomas B.
2015.
Predicting Self-Fulfilling Financial Crises.
SSRN Electronic Journal,
Luckhurst, Jonathan
2016.
G20 Since the Global Crisis.
p.
63.
McMenamin, Iain
Breen, Michael
and
Muñoz-Portillo, Juan
2016.
Comparative politics and quasi-rational markets.
New Political Economy,
Vol. 21,
Issue. 6,
p.
587.
Bjola, Corneliu
2016.
Diplomacy as world disclosure: A fractal theory of crisis management.
The British Journal of Politics and International Relations,
Vol. 18,
Issue. 2,
p.
335.
Gruin, Julian Y.
2016.
The social order of Chinese capitalism: socio-economic uncertainty, communist party rule and economic development, 1990–2000.
Economy and Society,
Vol. 45,
Issue. 1,
p.
24.
Nelson, Stephen C.
2016.
Contractual Knowledge.
p.
118.
Braun, Benjamin
2016.
Speaking to the people? Money, trust, and central bank legitimacy in the age of quantitative easing.
Review of International Political Economy,
Vol. 23,
Issue. 6,
p.
1064.