MURODOVICH, G. R. .; JAHONGIR, . . N. Improving Bank Loan Portfolio Quality Management . Academic Journal of Digital Economics and Stability, [S. l.], v. 15, p. 54–60, 2022. DOI: 10.51699/ajdes.v15i.435. Disponível em: https://economics.academicjournal.io/index.php/economics/article/view/435. Acesso em: 23 nov. 2024.