Hoflich, Peter (2012). Banks at Risk (Global Best Practices in an Age of Turbulence) || Implications of the Financial Crisis for Risk Management and Macroprudential Supervision. , 10.1002/9781119199410(), 40–62.
doi:10.1002/9781119199410.ch2
url to share this paper:
An interview with Sci-Hub Founder Alexandra Elbakyan Who exactly should pay for academic research