Systemic Risk in the Financial Sector: Ten Years After the Great Crash
Conclusion: Closing Perspectives on Regulating Systemic Risk
Publication
, Chapter
Schwarcz, S
2019
Duke Scholars
Publication Date
2019
Start / End Page
263 / 278
Publisher
Centre for International Governance Innovation
Citation
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Schwarcz, S. (2019). Conclusion: Closing Perspectives on Regulating Systemic Risk. In Systemic Risk in the Financial Sector: Ten Years After the Great Crash (pp. 263–278). Centre for International Governance Innovation.
Schwarcz, S. “Conclusion: Closing Perspectives on Regulating Systemic Risk.” In Systemic Risk in the Financial Sector: Ten Years After the Great Crash, 263–78. Centre for International Governance Innovation, 2019.
Schwarcz S. Conclusion: Closing Perspectives on Regulating Systemic Risk. In: Systemic Risk in the Financial Sector: Ten Years After the Great Crash. Centre for International Governance Innovation; 2019. p. 263–78.
Schwarcz, S. “Conclusion: Closing Perspectives on Regulating Systemic Risk.” Systemic Risk in the Financial Sector: Ten Years After the Great Crash, Centre for International Governance Innovation, 2019, pp. 263–78.
Schwarcz S. Conclusion: Closing Perspectives on Regulating Systemic Risk. Systemic Risk in the Financial Sector: Ten Years After the Great Crash. Centre for International Governance Innovation; 2019. p. 263–278.
Publication Date
2019
Start / End Page
263 / 278
Publisher
Centre for International Governance Innovation