BOUZGUENDA, Mariem; JARBOUI, Anis. Managing Systemic Risk in Energy and Financial Markets: Evidence from Five Portfolio Strategies Based on Connectedness. International Journal of Energy Economics and Policy, [S. l.], v. 16, n. 2, p. 665–679, 2026. DOI: 10.32479/ijeep.22010. Disponível em: https://econjournals.com/index.php/ijeep/article/view/22010. Acesso em: 13 feb. 2026.