Adjusting covariance matrix for risk management.

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Title: Adjusting covariance matrix for risk management.
Authors: Yu, Philip L. H.1 (AUTHOR), Ng, F.C.1 (AUTHOR), Ting, Jessica K.W.1 (AUTHOR) jkwting@connect.hku.hk
Source: Quantitative Finance. Oct2020, Vol. 20 Issue 10, p1681-1699. 19p.
Database: Mathematics Source
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  Data: Adjusting covariance matrix for risk management.
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  Data: <searchLink fieldCode="JN" term="%22Quantitative+Finance%22">Quantitative Finance</searchLink>. Oct2020, Vol. 20 Issue 10, p1681-1699. 19p.
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RecordInfo BibRecord:
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      – Type: doi
        Value: 10.1080/14697688.2020.1739737
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      – Code: eng
        Text: English
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        PageCount: 19
        StartPage: 1681
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      – TitleFull: Adjusting covariance matrix for risk management.
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            NameFull: Yu, Philip L. H.
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            NameFull: Ng, F.C.
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              Text: Oct2020
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