Détails du livre
Format
Relié
Pages
716
Langue
Anglais
Publié
Mar 4, 2009
Éditeur
World Scientific Publishing Company
ISBN-10
9812833633
ISBN-13
9789812833631
Description
Harry M. Markowitz's collected works showcase the groundbreaking ideas that earned him the Nobel Prize in Economics in 1990. Through a meticulous exploration of portfolio theory, he reveals how investors can optimize their asset allocations to balance risk and return. His insights have fundamentally influenced modern financial practices, guiding both academics and practitioners in understanding the complexities of investment strategies.
This compilation not only highlights his significant contributions to economics but also offers a glimpse into the intellectual journey of a visionary thinker. Readers will appreciate the depth and clarity of his analyses, which continue to resonate in the ever-evolving landscape of finance. Markowitz’s work remains a vital resource for anyone looking to grasp the foundational concepts of risk management and investment decision-making.
This compilation not only highlights his significant contributions to economics but also offers a glimpse into the intellectual journey of a visionary thinker. Readers will appreciate the depth and clarity of his analyses, which continue to resonate in the ever-evolving landscape of finance. Markowitz’s work remains a vital resource for anyone looking to grasp the foundational concepts of risk management and investment decision-making.
Genres
Science & Technologie
Affaires & Économie