APA (7th ed.) Citation

Strahan, P. E., Gatev, E. G., & Schuermann, T. (2004). How do banks manage liquidity risk?: Evidence from equity and deposit markets in the fall of 1998. National Bureau of Economic Research.

Chicago Style (17th ed.) Citation

Strahan, Philip E., Evan G. Gatev, and Til Schuermann. How Do Banks Manage Liquidity Risk?: Evidence from Equity and Deposit Markets in the Fall of 1998. Cambridge, Mass: National Bureau of Economic Research, 2004.

MLA (9th ed.) Citation

Strahan, Philip E., et al. How Do Banks Manage Liquidity Risk?: Evidence from Equity and Deposit Markets in the Fall of 1998. National Bureau of Economic Research, 2004.

Warning: These citations may not always be 100% accurate.