Using regulatory enforcement theory to explain compliance with quality and patient safety regulations: the case of internal audits
Pre-publication versions of this article are available by contacting firstname.lastname@example.org.
|16 Jan 2017||Submitted||Original manuscript|
|11 Jun 2017||Reviewed||Reviewer Report - Viviane Euzébia Pereira Santos|
|11 Jul 2017||Reviewed||Reviewer Report - Marianne Törner|
|11 Sep 2017||Author responded||Author comments - Ulrike Weske|
|Resubmission - Version 2|
|11 Sep 2017||Submitted||Manuscript version 2|
|26 Sep 2017||Reviewed||Reviewer Report - Marianne Törner|
|9 Jan 2018||Author responded||Author comments - Ulrike Weske|
|Resubmission - Version 3|
|9 Jan 2018||Submitted||Manuscript version 3|
|21 Jan 2018||Editorially accepted|
|30 Jan 2018||Article published||10.1186/s12913-018-2865-8|
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