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Addressing Excessive Risk Taking in the Financial Sector: A Corporate Governance Approach

Publication ,  Report
Schwarcz, S; Peihani, M
2018

Duke Scholars

Publication Date

2018

Publisher

Centre for International Governance Innovation
 

Citation

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Schwarcz, S., & Peihani, M. (2018). Addressing Excessive Risk Taking in the Financial Sector: A Corporate Governance Approach. Centre for International Governance Innovation.
Schwarcz, S., and M. Peihani. “Addressing Excessive Risk Taking in the Financial Sector: A Corporate Governance Approach.” Centre for International Governance Innovation, 2018.
Schwarcz S, Peihani M. Addressing Excessive Risk Taking in the Financial Sector: A Corporate Governance Approach. Centre for International Governance Innovation; 2018.
Schwarcz, S., and M. Peihani. Addressing Excessive Risk Taking in the Financial Sector: A Corporate Governance Approach. Centre for International Governance Innovation, 2018.
Schwarcz S, Peihani M. Addressing Excessive Risk Taking in the Financial Sector: A Corporate Governance Approach. Centre for International Governance Innovation; 2018.

Publication Date

2018

Publisher

Centre for International Governance Innovation