GARŠKAITĖ-MILVYDIENĖ, Kristina. Use of derivative financial instruments for risk management. International Scientific Conference “Business and Management”, [S. l.], v. 12, p. 1–10, 2022. DOI: 10.3846/bm.2022.793. Disponível em: https://conferences.vilniustech.lt/index.php/BM/article/view/422. Acesso em: 13 sep. 2026.