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| | BIBLIOGRAFIA |  | Fabozzi, F. J. (2015), Bond Markets, Analysis and Strategies, 9th edition, Pearson |  | Hull, J. C. e Basu, S. (2011), Options, Futures, and Other Derivatives, 10th edition, Pearson |  | Martellini, L., Priaulet, P. e Priaulet, S. (2003), Fixed-income securities – Valuation, risk management and portfolio strategies, Chichester, John Wiley & Sons |  | Saunders, A. e Cornett, M. M. (2017), Financial Institutions Management: A Risk Management Approach, 9th edition, McGraw-Hill |  | Petitt, B. S., Pinto, J. E. e Pirie, W. L. (2015), Fixed Income Analysis, 3.ª edição, CFA Institute |  | Cornett, M. M, (2017), Financial Institutions Management: A Risk Management Approach, 9th edition, McGrawHill |
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