WOLF, Rob; AIUPPA, Tom. An Instructional Model of Bank Portfolio Credit Risk and Return. Journal of Finance Issues, [S. l.], v. 4, n. 1, p. 69–78, 2006. DOI: 10.58886/jfi.v4i1.2471. Disponível em: https://jfi-aof.org/index.php/jfi/article/view/2471. Acesso em: 21 may. 2026.