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Harry M. Markowitz explains Portfolio Theory

Index Funds Advisors
Wednesday, October 28, 2009

Harry M. Markowitz explains Portfolio Theory: what it is and how it's used from a top-down model from the asset classes to the investments. He covers Standard Deviation, Variance, Correlation, and Covariance. Markowitz also explains what happened in 2008 with Modern Portfolio Theory. (39 Min.)


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