Introduction: Methodological implications of the financial crisis
Publication
, Journal Article
Hoover, KD
Published in: Journal of Economic Methodology
December 1, 2010
Duke Scholars
Published In
Journal of Economic Methodology
DOI
EISSN
1469-9427
ISSN
1350-178X
Publication Date
December 1, 2010
Volume
17
Issue
4
Start / End Page
397 / 398
Related Subject Headings
- Economics
- 3801 Applied economics
- 1403 Econometrics
- 1401 Economic Theory
Citation
APA
Chicago
ICMJE
MLA
NLM
Hoover, K. D. (2010). Introduction: Methodological implications of the financial crisis. Journal of Economic Methodology, 17(4), 397–398. https://doi.org/10.1080/1350178X.2010.525037
Hoover, K. D. “Introduction: Methodological implications of the financial crisis.” Journal of Economic Methodology 17, no. 4 (December 1, 2010): 397–98. https://doi.org/10.1080/1350178X.2010.525037.
Hoover KD. Introduction: Methodological implications of the financial crisis. Journal of Economic Methodology. 2010 Dec 1;17(4):397–8.
Hoover, K. D. “Introduction: Methodological implications of the financial crisis.” Journal of Economic Methodology, vol. 17, no. 4, Dec. 2010, pp. 397–98. Scopus, doi:10.1080/1350178X.2010.525037.
Hoover KD. Introduction: Methodological implications of the financial crisis. Journal of Economic Methodology. 2010 Dec 1;17(4):397–398.
Published In
Journal of Economic Methodology
DOI
EISSN
1469-9427
ISSN
1350-178X
Publication Date
December 1, 2010
Volume
17
Issue
4
Start / End Page
397 / 398
Related Subject Headings
- Economics
- 3801 Applied economics
- 1403 Econometrics
- 1401 Economic Theory