#' @references
#'
#' Pav, S. E. "Asymptotic Distribution of the Markowitz Portfolio."
#' 2013 \url{http://arxiv.org/abs/1312.0557}
#'
#' Pav, S. E. "Portfolio Inference with this One Weird Trick."
#' R in Finance, 2014 \url{http://past.rinfinance.com/agenda/2014/talk/StevenPav.pdf}
#'
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