113
Views
14
CrossRef citations to date
0
Altmetric
Original Articles

RELIABILITY AT RISK The supervision of financial models as a case study for reflexive economic sociology

Pages 69-90 | Published online: 07 Dec 2010

Keep up to date with the latest research on this topic with citation updates for this article.

Read on this site (3)

Grahame Thompson. (2011) SOURCES OF FINANCIAL SOCIABILITY. Journal of Cultural Economy 4:4, pages 405-421.
Read now
Donald MacKenzie. (2005) Opening the black boxes of global finance. Review of International Political Economy 12:4, pages 555-576.
Read now

Articles from other publishers (11)

Nathan Coombs. (2020) What do stress tests test? Experimentation, demonstration, and the sociotechnical performance of regulatory science. The British Journal of Sociology 71:3, pages 520-536.
Crossref
Galit Ailon. (2013) Financial Risk-taking as a Sociological Gamble: Notes on the Development of a New Social Perspective. Sociology 48:3, pages 606-621.
Crossref
Fabian Muniesa & Marc Lenglet. 2013. Responsible Innovation. Responsible Innovation 185 198 .
Yuval Millo & Donald MacKenzie. (2009) The usefulness of inaccurate models: Towards an understanding of the emergence of financial risk management. Accounting, Organizations and Society 34:5, pages 638-653.
Crossref
Loong Wong. 2009. Credit, Currency, or Derivatives: Instrumentsof Global Financial Stability Orcrisis?. Credit, Currency, or Derivatives: Instrumentsof Global Financial Stability Orcrisis? 545 573 .
Fabian Muniesa. (2005) Contenir le marché : la transition de la criée à la cotation électronique à la Bourse de ParisContaining the market: The transition from open outcry to electronic trading at the Paris Bourse. Sociologie du travail 47:4, pages 485-501.
Crossref
Yuval Millo, Fabian Muniesa, Nikiforos S. Panourgias & Susan V. Scott. (2005) Organised detachment: Clearinghouse mechanisms in financial markets. Information and Organization 15:3, pages 229-246.
Crossref
Donald MacKenzie. (2016) An Equation and its Worlds. Social Studies of Science 33:6, pages 831-868.
Crossref
Donald MacKenzie & Yuval Millo. (2001) Negotiating a Market, Performing Theory: The Historical Sociology of a Financial Derivatives Exchange. SSRN Electronic Journal.
Crossref
Yuval Millo & Donald MacKenzie. (2008) The Usefulness of Inaccurate Models: The Emergence of Financial Risk Management. SSRN Electronic Journal.
Crossref
Yuval Millo & Donald MacKenzie. (2007) Building a Boundary Object: The Evolution of Financial Risk Management. SSRN Electronic Journal.
Crossref

Reprints and Corporate Permissions

Please note: Selecting permissions does not provide access to the full text of the article, please see our help page How do I view content?

To request a reprint or corporate permissions for this article, please click on the relevant link below:

Academic Permissions

Please note: Selecting permissions does not provide access to the full text of the article, please see our help page How do I view content?

Obtain permissions instantly via Rightslink by clicking on the button below:

If you are unable to obtain permissions via Rightslink, please complete and submit this Permissions form. For more information, please visit our Permissions help page.