The Markowitz Contribution to Portfolio Theory
Managerial Finance1979Vol. 5(1), pp. 3–17
Citations Over Time
Abstract
This issue of Managerial Finance is devoted to modern portfolio theory which has evolved since the pioneering work of Markowitz in 1952. Before the development of modern portfolio theory investors and their advisers used the “traditional approach” to investment management and portfolio selection.
Related Papers
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- Research on Portfolio Investment Model Under the E-Sh Risk Measure(2000)