gptkbp:instanceOf
|
Person
|
gptkbp:affiliation
|
gptkb:University_of_California,_Berkeley
|
gptkbp:almaMater
|
gptkb:University_of_Chicago
|
gptkbp:awardedBy
|
gptkb:Nobel_Prize_in_Economic_Sciences
|
gptkbp:birthDate
|
1934-08-24
|
gptkbp:birthPlace
|
gptkb:Chicago,_Illinois,_USA
|
gptkbp:children
|
2
|
gptkbp:contributedTo
|
Financial_Economics
|
gptkbp:field
|
Finance
|
https://www.w3.org/2000/01/rdf-schema#label
|
Donald Markowitz
|
gptkbp:influenced
|
Portfolio_Management
|
gptkbp:influencedBy
|
gptkb:Harry_Markowitz
|
gptkbp:knownFor
|
gptkb:Modern_Portfolio_Theory
Investment Theory
|
gptkbp:nationality
|
American
|
gptkbp:occupation
|
Economist
|
gptkbp:publishes
|
gptkb:The_Journal_of_Banking_and_Finance
gptkb:The_Journal_of_Financial_Stability
gptkb:The_Journal_of_Risk_Analysis
gptkb:The_Journal_of_Economic_Perspectives
gptkb:The_Journal_of_Risk_and_Financial_Research
gptkb:The_Journal_of_Portfolio_Management
gptkb:The_Journal_of_Risk_Finance
gptkb:The_Journal_of_Financial_Research
gptkb:The_Journal_of_Risk_and_Financial_Studies
gptkb:The_Journal_of_Risk_and_Financial_Research_Studies
gptkb:The_Journal_of_Risk_and_Financial_Theory
gptkb:The_Journal_of_Risk_Assessment
gptkb:The_Financial_Analysts_Journal
gptkb:The_Review_of_Financial_Studies
gptkb:The_Journal_of_Risk_and_Financial_Analysis
gptkb:The_Journal_of_Financial_and_Quantitative_Analysis
gptkb:The_Journal_of_Finance
gptkb:The_Journal_of_Business
gptkb:The_Journal_of_Risk_and_Decision_Analysis
gptkb:The_Journal_of_Risk_and_Financial_Economics
gptkb:The_Journal_of_Risk_Management_in_Financial_Institutions
gptkb:The_Journal_of_Risk_and_Financial_Practice
gptkb:The_Journal_of_Financial_Economics
gptkb:The_Journal_of_Risk_and_Insurance
gptkb:The_Journal_of_Risk_and_Uncertainty
gptkb:The_Journal_of_Risk_and_Financial_Management
gptkb:The_Journal_of_Financial_Markets
Asset Allocation
Investment Decisions
Mean-Variance Analysis
Portfolio Selection
Risk and Return
The Efficient Frontier
Financial_Theory_and_Corporate_Policy
The_Journal_of_Risk_Research
The_Journal_of_Risk_and_Financial_Analysis_Studies
The_Journal_of_Risk_and_Financial_Practice_Studies
The_Journal_of_Risk_and_Financial_Theory_Studies
The_Journal_of_Risk_and_Uncertainty_Management
The_Theory_of_Portfolio_Selection
The_Journal_of_Risk_and_Financial_Management_Studies
The_Journal_of_Risk_and_Financial_Economics_Studies
|
gptkbp:researchInterest
|
Risk Management
|
gptkbp:spouse
|
Ruth_Markowitz
|