I received some requests for the replies to the question I posted earlier. I include them below: http://bayesware.com/resources/tutorials/kddcup99/kddcup99.pdf Bayesian Network Models of Portfolio Risk and Return, which is available at his publications page (http://lark.cc.ukans.edu/~pshenoy/#H8) I would appreciate any further information which I will then post also. thanks for the providers.
