OKTARA, LIA SARI. IMPACT OF CREDIT RISK MANAGEMENT AND INTEREST RATES ON STOCK VOLATILITY IN THE REAL ESTATE INDUSTRY. TPM – Testing, Psychometrics, Methodology in Applied Psychology, [S. l.], v. 32, n. 3, p. 1179–1184, 2025. Disponível em: https://tpmap.org/submission/index.php/tpm/article/view/2548. Acesso em: 14 jan. 2026.