MUBARAK, Israul. Strategi komprehensif pengelolaan risiko pasar pada lembaga keuangan syariah: Pendekatan value at risk dan backtesting. Maliki Interdisciplinary Journal, [S. l.], v. 2, n. 5, p. 1009–1012, 2024. Disponível em: https://urj.uin-malang.ac.id/index.php/mij/article/view/7241. Acesso em: 4 aug. 2026.