VAN HEERDEN, C. The Eminence Of Risk-Free Rates In Portfolio Management: A South African Perspective. Journal of Applied Business Research (JABR), [S. l.], v. 32, n. 2, p. 569–596, 2016. DOI: 10.19030/jabr.v32i2.9597. Disponível em: https://clutejournals.com/index.php/JABR/article/view/9597. Acesso em: 17 jul. 2024.