“MARKET RISK ASSESSMENT USING ANALYTICAL METHOD DURING THE GLOBAL FINANCIAL CRISIS: A CASE STUDY OF THE TRADING PORTFOLIO ON THE BELGRADE STOCK EXCHANGE”. Ekonomski izazovi / Economic Challenges 14, no. 29 (January 16, 2026). Accessed January 30, 2026. http://publikacije.uninp.edu.rs/index.php/ei/article/view/418.