1. Accountancy (1996), “Report on APB submission to the Hampel Committee”, Accountancy, Vol. 117, p. 17.
2. APB (1999), “The combined code: requirements of auditors under the listing rules of the London Stock Exchange”, Bulletin, Vol. 1999 No. 5.
3. Barrett, A. and Zweig, P.L. (1994), “Special report: managing risk”, Business Week, 31 October, pp. 50‐64.
4. Blackburn, S. (1999), “Managing risk and achieving Turnbull compliance”, Accountant's Digest, No. 417.
5. Chambers, A. (1999), “Quo vadis internal auditing?”, Management Accounting, October, pp. 32‐3.