Every reference with a DOI in the deposited reference list resolved to a known
work in Crossref or DataCite at the dated check, and none carried a retraction,
withdrawal, or removal notice.
The 14 references without a DOI — listed, not checked
no DOI — not checkedCane, M. B., Shamir, A., & Jodar, T. (2011). Below investment grade and above the law: A past, present and future look at the accountability of credit rating agencies. Fordham Journal of Corporate and Financial Law, forthcoming. Retrieved from http://papers.ssrn.com/sol3/papers.cfm?abstract_id=1927907 .
no DOI — not checkedChan, S. (2010, December 30). Academic economists to consider ethics code. The New York Times.
no DOI — not checkedChan, K. C., Weber, M., & Johnson, M. (1995). Using Other People’s Money in the classroom. Financial Practice and Education, 5(1), 123–129.
no DOI — not checkedDyl, E. A. (1991). Wall Street: A case in ethics. Financial Practice and Education, 1(1), 49–51.
no DOI — not checkedFerguson, C. H. (2010). Inside Job [Press kit]. New York: Sony Picture Classics. Retrieved from http://www.sonyclassics.com/insidejob/_pdf/insidejob_presskit.pdf .
no DOI — not checkedFerguson, C. H. (2012). Predator nation: Corporate criminals, political corruption, and the hijacking of America. New York: Crown Business.
no DOI — not checkedHall, K. G. (2012, May 8). Financial regulations unenforced, critics say. The Columbus Dispatch.
no DOI — not checkedNofsinger, J. R. (1995). Barbarians at the Gate: A capstone corporate finance project. Financial Practice and Education, 5(1), 118–122.
no DOI — not checkedPartnoy, F. (2010). Inside Job—The official teacher’s guide. Retrieved from http://www.sonyclassics.com/insidejob/_pdf/InsideJob_StudyGuide.pdf .
no DOI — not checkedPoliak, S., & Roth, S. (2011, May 14). B-school faculty approve tougher conflict of interest rules. Columbia Spectator.
no DOI — not checkedRajan, R. G. (2005). Has financial development made the world riskier? Economic Symposium Conference Proceedings, Federal Reserve Bank of Kansas City, August, pp. 313–369.
no DOI — not checkedRichards, L. A. (2006). Fiduciary duty: Return to first principles. Speech by the Director of the Office of Compliance Inspections and Examinations, U.S. Securities and Exchange Commission, Given at the Eighth Annual Investment Adviser Compliance Summit, Washington, D.C., February 27, 2006. Retrieved from http://www.sec.gov/news/speech/spch022706lar.htm .
no DOI — not checkedShiller, R. J. (2012). Finance and the good society. Princeton: Princeton University Press.
no DOI — not checkedStout, L. A. (2011). Derivatives and the legal origin of the 2008 credit crisis. Harvard Business Law Review, 1, 1–38.
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