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1952

Harry Markowitz

Chapter 2 in Harry Markowitz:Selected Works, 2009, pp 11-50 from World Scientific Publishing Co. Pte. Ltd.

Abstract: AbstractThe following sections are included:PORTFOLIO SELECTION*The Early History of Portfolio Theory: 1600–1960Portfolio Theory: 1952Markowitz Portfolio Theory circa 1959Tobin (1958)Hicks (1935,1962)Marschak (1938)Williams (1938)Leavens (1945)The End of the BeginningNotesReferencesTHE UTILITY OF WEALTH

Keywords: Portfolio Theory; SIMSCRIPT; Sparse Matrices; Behavioral Finance; Harry Markowitz (search for similar items in EconPapers)
Date: 2009
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