PANCHENKO, M.; PARLIŃSKA, M. PORTFOLIO RISK MANAGEMENT IN INVESTMENT ACTIVITY OF BANKING SECTOR. Zeszyty Naukowe SGGW, Polityki Europejskie, Finanse i Marketing, [S. l.], n. 11(60), p. 170–184, 2014. Disponível em: https://pefim.sggw.edu.pl/article/view/1284. Acesso em: 29 kwi. 2024.