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3. Bank of Russia. (2020). Methodological recommendations “On calculating the amount of interest rate risk on assets (claims) and liabilities (liabilities) of a credit institution (banking group)” № 8-МР from 09.07.2020. https://cbr.ru/statichtml/file/59420/20200709_8-mr.pdf
4. Lobanov, A. A., & Chugunov, A. V. (2003). Encyclopedia of Financial Risk Management. Moscow: Alpina.
5. Al Fazari, S., Azevedo, A., Hudson, R., Leng, J. (2022). The Eff ect of Derivatives Use on Firm Value and Performance: Evidence From UK Financial Firms. Hull University Business School. https://papers.ssrn.com/sol3/papers.cfm?abstract_id=4173501