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1 OVERVIEW OF AN INTEGRATED QUANTITATIVE FRAMEWORK IN FIXED-INCOME PORTFOLIO MANAGEMENT February 17, 1999 Global Association of Risk Professional Boston
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Ron D'Vari, Ph.D.State Street Research1 INTEGRATED MULTI-FACTOR RISK MANAGEMENT AND PERFORMANCE ATTRIBUTION Ron D’Vari, Ph.D. Vice President, Fixed Income
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INTEGRATED MULTI-FACTOR RISK MANAGEMENT AND PERFORMANCE ATTRIBUTION
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