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The Effects of Clients' Controversial Activities on Audit Pricing.
- Published in:
- Auditing: A Journal of Practice & Theory, 2013, v. 32, n. 2, p. 67, doi. 10.2308/ajpt-50348
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- Publication type:
- Article
EarlyWarnings of Internal Control Problems: Additional Evidence.
- Published in:
- Auditing: A Journal of Practice & Theory, 2013, v. 32, n. 2, p. 171, doi. 10.2308/ajpt-50380
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- Publication type:
- Article
Auditors' Consideration of Material Income-Increasing versus Material Income-Decreasing Items during the Audit Process.
- Published in:
- Auditing: A Journal of Practice & Theory, 2013, v. 32, n. 2, p. 33, doi. 10.2308/ajpt-50349
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- Publication type:
- Article
Do Financial Restatements Lead to Auditor Changes?
- Published in:
- Auditing: A Journal of Practice & Theory, 2013, v. 32, n. 2, p. 119, doi. 10.2308/ajpt-50362
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- Publication type:
- Article
An Examination of the Legal Liability Associated with Outsourcing and Offshoring Audit Procedures.
- Published in:
- Auditing: A Journal of Practice & Theory, 2013, v. 32, n. 2, p. 97, doi. 10.2308/ajpt-50354
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- Article
Selecting Audit Samples Using Benford's Law.
- Published in:
- Auditing: A Journal of Practice & Theory, 2013, v. 32, n. 2, p. 53, doi. 10.2308/ajpt-50340
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- Publication type:
- Article
Client Risk Management: A Pecking Order Analysis of Auditor Response to Upward Earnings Management Risk.
- Published in:
- Auditing: A Journal of Practice & Theory, 2013, v. 32, n. 2, p. 147, doi. 10.2308/ajpt-50372
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- Publication type:
- Article
When the PCAOB Talks, Who Listens? Evidence from Stakeholder Reaction to GAAP-Deficient PCAOB Inspection Reports of Small Auditors.
- Published in:
- Auditing: A Journal of Practice & Theory, 2013, v. 32, n. 2, p. 1, doi. 10.2308/ajpt-50374
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- Publication type:
- Article