PERA, Jacek. Risk Management and Diversification in the Light of Behavioural Finance Theory and the Neumann-Morgenstern Model. Krakow Review of Economics and Management/Zeszyty Naukowe Uniwersytetu Ekonomicznego w Krakowie, Krakow, n. 920, p. 67–81, 2015. DOI: 10.15678/krem.706. Disponível em: https://krem.uek.krakow.pl/index.php/krem/article/view/706.. Acesso em: 22 nov. 2024.