Cite
Institutional risk management, financial fragility and market structure in the banking firm : theories, regulation effects and international evidence
MLA
Ruiz-Porras, Antonio. Institutional Risk Management, Financial Fragility and Market Structure in the Banking Firm : Theories, Regulation Effects and International Evidence. Jan. 2004. EBSCOhost, widgets.ebscohost.com/prod/customlink/proxify/proxify.php?count=1&encode=0&proxy=&find_1=&replace_1=&target=https://search.ebscohost.com/login.aspx?direct=true&site=eds-live&scope=site&db=edsble&AN=edsble.408891&authtype=sso&custid=ns315887.
APA
Ruiz-Porras, A. (2004). Institutional risk management, financial fragility and market structure in the banking firm : theories, regulation effects and international evidence.
Chicago
Ruiz-Porras, Antonio. 2004. “Institutional Risk Management, Financial Fragility and Market Structure in the Banking Firm : Theories, Regulation Effects and International Evidence,” January. http://widgets.ebscohost.com/prod/customlink/proxify/proxify.php?count=1&encode=0&proxy=&find_1=&replace_1=&target=https://search.ebscohost.com/login.aspx?direct=true&site=eds-live&scope=site&db=edsble&AN=edsble.408891&authtype=sso&custid=ns315887.