Marinho da Silva, Rhoger Fellipe, Charles Ulises Carmona, and Umbelina Cravo Teixeira Lagioia. “Risk Relation and the Corporative Governance Practice in the Brazilian Stock Market: an Approach According to the Portfolio Theory by Markowitz”. Review of Business Management 13, no. 39 (July 7, 2011): 175–192. Accessed November 23, 2024. https://rbgn.fecap.br/RBGN/article/view/789.