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Harry Markowitz
Prof.
Alternative spellings: H. Markowitz Harry M. Markowitz Harry Max Markowitz H. M. Markowitz G. Markovic G. M. Markovic
B:24. August 1927Chicago, Ill. D: 22. Juni 2023 Biblio: Chief Architect at GuidedChoice.com, San Diego ; McKinley Capital Management, LLC ; Tätig bei Harry Markowitz Company, San Diego, Calif., USA (1997-) ; Tätig an der Rady School of Management, Univ. of California, San Diego, Calif. ; Tätig bei der Daiwa Securities Trust Company (1997) ; Tätig bei Arbitrage Management Corp. (1987) Death Place:
Harry Max Markowitz (born August 24, 1927) is an American economist who received the 1989 John von Neumann Theory Prize and the 1990 Nobel Memorial Prize in Economic Sciences. Markowitz is a professor of finance at the Rady School of Management at the University of California, San Diego (UCSD). He is best known for his pioneering work in modern portfolio theory, studying the effects of asset risk, return, correlation and diversification on probable investment portfolio returns. (Source: DBPedia)
1990 - Prize in Economic Sciences in Memory of Alfred Nobel
Harry Max Markowitz (born August 24, 1927) is an American economist who received the 1989 John von Neumann Theory Prize and the 1990 Nobel Memorial Prize in Economic Sciences. Markowitz is a professor of finance at the Rady School of Management at the University of California, San Diego (UCSD). He is best known for his pioneering work in modern portfolio theory, studying the effects of asset risk, return, correlation and diversification on probable investment portfolio returns. (Source: DBPedia)
Q272508
Publishing years
2
2023
1
2022
2
2021
2
2020
3
2018
4
2017
1
2016
4
2015
6
2014
2
2013
2
2012
6
2011
9
2010
2
2009
8
2008
2
2006
1
2005
2
2004
4
2002
2
2000
1
1997
2
1996
1
1993
3
1992
5
1991
2
1990
2
1987
1
1984
1
1979
1
1971
2
1970
1
1965
1
1963
2
1959
1
1956
1
1952
Series
The Frank J. Fabozzi series (3)
Monograph / Cowles Foundation for Research in Economics, Yale University (2)
Monographs / Cowles Foundation for Research in Economics (2)
Wiley Finance Ser. (1)
Working paper / National Bureau of Economic Research, Inc. (1)
NBER Working Paper (1)
World Scientific-Nobel Laureate Ser. (1)
Frank J. Fabozzi Series (1)
World scientific - Nobel laureate series (1)
World Scientific - nobel laureate series (1)
Marchés financiers et gestion de portefeuilles: une mise en perspective des nouveaux outils (1)
Special issue on portfolio theory (1)
North Holland TIMS studies in the management sciences (1)
Cowles foundation for research in economics. Monograph (1)