Harry Markowitz: Difference between revisions

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{{Nobel Memorial Prize in Economics Laureates 1976-2000}}
{{Nobel Memorial Prize in Economics Laureates 1976-2000}}


[[Category: Economics Workgroup]]
[[Category:1927 births|Markowitz, Harry]]
[[Category:1927 births|Markowitz, Harry]]
[[Category:Living people|Markowitz, Harry]]
[[Category:Living people|Markowitz, Harry]]

Revision as of 01:25, 30 November 2006

Harry Max Markowitz (born August 24, 1927) is an influential economist at the Rady School of Management at the University of California, San Diego. Formerly at the RAND Corporation, Markowitz won the Bank of Sweden Prize in Economic Sciences in Memory of Alfred Nobel in 1990 while a professor of finance at Baruch College of the City University of New York.

He is best known for his pioneering work in modern portfolio theory, studying the effects of asset risk, correlation and diversification on expected investment portfolio returns.

A Markowitz Efficient Portfolio is one where no added diversification can lower the portfolio's risk for a given return expectation (alternately, no additional expected return can be gained without increasing the risk of the portfolio). The Markowitz Efficient Frontier is the set of all portfolios that will give the highest expected return for each given level of risk. These concepts of efficiency were essential to the development of the Capital Asset Pricing Model.

Markowitz also co-edited the textbook The Theory and Practice of Investment Management with Frank J. Fabozzi of Yale School of Management.


References

  • Fabozzi, F. J. and Markowitz H. M. (2002), "The Theory and Practice of Investment Management", John Wiley & Sons
  • Markowitz, H. M. (1952), "Portfolio Selection", Journal of Finance, Vol. 7, Iss. 1, p. 77-91.
  • Markowitz, H. M. (1970), "Portfolio Selection: Efficient Diversification of Investments", 368p, Yale University Press,

External link

Template:Nobel Memorial Prize in Economics Laureates 1976-2000