Financial Risk Management in the Age of Cryptocurrency: A Comparative Approach to Digital Asset Volatility and Its Implications for Institutional Investment Portfolios. Journal of Economics, Management, and Accounting, [S. l.], v. 1, n. 2, p. 207–217, 2025. DOI: 10.65310/qbhj4372. Disponível em: https://scriptaintelektual.com/scripta-economica/article/view/172. Acesso em: 29 dec. 2025.