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HARVARD Citation
Fernandez‐Arjona, L. et al. (2022). A machine learning approach to portfolio pricing and risk management for high‐dimensional problems. Mathematical finance. pp. 982-1019. [Online].
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Fernandez‐Arjona, L. et al. (2022). A machine learning approach to portfolio pricing and risk management for high‐dimensional problems. Mathematical finance. pp. 982-1019. [Online].