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businessJul 16, 20205:06pending

Risk Management and Optimal Combination of Equity Market Factors

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A summary of "Risk Management and Optimal Combination of Equity Market Factors," by Roger Clarke, Harindra de Silva, CFA, and Steven Thorley, CFA, published in the Third Quarter 2020 issue of the Financial Analysts Journal.

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Risk Management and Optimal Combination of Equity Market Factors

Financial Analysts Journal

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