%0 Generic
%T A machine learning approach to portfolio pricing and risk management for high-dimensional problems
%A Fernandez-Arjona, Lucio
%A Filipović, Damir
%I Swiss Finance Institute
%K Graue Literatur
%D 2020
%C Swiss Finance Institute
%C Geneva
%U http://slubdd.de/katalog?TN_libero_mab2
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