Portfolio Optimization Theory: Estimation of the Covariance Matrix for High-dimensional Data

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Bibliographic Details
Main Author: Furková, Andrea, 1975-
Other Authors: Knížat, Peter, 1980-
Format: Book Chapter
Language:English
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041 0 |a eng 
044 |a PL 
245 1 0 |a Portfolio Optimization Theory: Estimation of the Covariance Matrix for High-dimensional Data  |c Andrea Furková, Peter Knížat 
500 |a Abstrakt 
610 2 0 |a portfólio 
610 2 0 |a optimalizácia 
610 2 0 |a matice 
610 2 0 |a dáta 
100 1 |a Furková, Andrea, 1975- 
700 1 |a Knížat, Peter, 1980-