第4章讲守正义2010.docVIP

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第4章讲守正义2010

第四章 马科维茨投资组合理论 马科维茨(Harry M.Markowitz,) 1927年生于美国,1952年获芝加哥大学博士学位。他曾任职于兰德公司,后为纽约市立大学巴鲁齐学院教授。1990年因其在1952年提出的投资组合选择(Portfolio Selection)理论获得诺贝尔经济学奖。 Markowitz 诺贝尔奖演说结语 “Finally, I would like to add a comment concerning portfolio theory as a part of the microeconomics of action under uncertainty. It has not always been considered so. For example, when I defended my dissertation as a student in the Economics Department of the University of Chicago, Professor Milton Friedman argued that portfolio theory was not Economics, and that they could not award me a Ph.D. degree in Economics for a dissertat

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