SHAHSUZAN ZAKARIA. THE USE OF FINANCIAL DERIVATIVES IN MEASURING BANK RISK MANAGEMENT EFFICIENCY: A DATA ENVELOPMENT ANALYSIS APPROACH. Asian Academy of Management Journal, [S. l.], v. 22, n. 2, p. 209–244, 2017. DOI: 10.21315/aamj2017.22.2.8. Disponível em: https://ejournal.usm.my/aamj/article/view/aamj_vol22-no-2-2017_8.. Acesso em: 22 nov. 2024.