Harry Max Markowitz
H. Markowitz
American economist who received the 1989 John von Neumann Theory Prize and the 1990 Nobel Memorial Prize in Economic Sciences.
Overview
Catalog identity and bibliographic footprint for this author.
Catalog identity
How this author appears inside the active Bookitis catalog.
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Featured books
Representative editions for works actually authored by this person.
- Image source: Open LibraryAP
A practitioner's guide to asset allocation
cover - Image source: Open LibraryTT
The theory and practice of investment management
cover - Image source: Open LibraryEV
Equity valuation and portfolio management
cover - Image source: Open LibraryPF
Practical financial optimization
cover - Image source: Open LibraryHM
Harry Markowitz
cover - Image source: Open LibraryTF
The Fundamental Index
cover - Image source: Open LibraryBT
Bold Thinking on Investment Management
cover - Image source: Open LibraryTT
The Theory and Practice of Investment Management Workbook
cover - Image source: Open LibraryMA
Mean-variance analysis in portfolio choice and capital markets
cover - Image source: Open LibraryCI
Capital ideas and market realities
cover - Image source: Open LibraryTF
The founders of modern finance
cover - Image source: Open LibraryPS
Portfolio selection
cover - Image source: Open LibraryMA
Mean-variance analysis in portfolio choice and capital markets
cover - Image source: Open LibraryPT
Portfolio theory, 25 years after
cover - Image source: Open LibraryPS
Portfolio Selection: Efficient Diversification of Investments (Cowles Foundation Monograph: No. 16)
cover - Image source: Open LibraryS
Simscript
cover - Image source: Open LibraryPS
Portfolio selection
cover - AAAsset AllocationHarry Max Markowitz
Asset Allocation
no cover - FOFlaw of AveragesHarry Max Markowitz
Flaw of Averages
no cover - EVEquity Valuation and Portfolio...Harry Max Markowitz
Equity Valuation and Portfolio Management
no cover - PSPortfolio selectionHarry Max Markowitz
Portfolio selection
no cover - MAMean-Variance Analysis in Portf...Harry Max Markowitz
Mean-Variance Analysis in Portfolio Choice and Capital Markets
no cover - PSPortfolio selectionHarry Max Markowitz
Portfolio selection
no cover - PSPortfolio SelectionHarry Max Markowitz
Portfolio Selection
no cover
Works in catalog
Quick navigation into the work-level grouping pages behind the featured books.
- Open Work
A practitioner's guide to asset allocation
- Open Work
The theory and practice of investment management
- Open Work
Equity valuation and portfolio management
- Open Work
Practical financial optimization
- Open Work
Harry Markowitz
- Open Work
The Fundamental Index
- Open Work
Bold Thinking on Investment Management
- Open Work
The Theory and Practice of Investment Management Workbook
- Open Work
Mean-variance analysis in portfolio choice and capital markets
- Open Work
Capital ideas and market realities
- Open Work
The founders of modern finance
- Open Work
Portfolio selection
- Open Work
Mean-variance analysis in portfolio choice and capital markets
- Open Work
Portfolio theory, 25 years after
- Open Work
Portfolio Selection: Efficient Diversification of Investments (Cowles Foundation Monograph: No. 16)
- Open Work
Simscript
- Open Work
Portfolio selection
- Open Work
Asset Allocation
- Open Work
Flaw of Averages
- Open Work
Equity Valuation and Portfolio Management
- Open Work
Portfolio selection
- Open Work
Mean-Variance Analysis in Portfolio Choice and Capital Markets
- Open Work
Portfolio selection
- Open Work
Portfolio Selection