Theoretical Aspects Concerning the Use of the Markowitz Model in the Management of Financial Instruments Portfolios

Journal Title: Revista Romana de Statistica - Year 2012, Vol 60, Issue 4

Abstract

Early attempts to develop a modern model for the assessment of performance of portfolios of instruments belong to American teacher Harry Markowitz. He has abandoned the classical approach of the analysis of financial investment (based solely on technical and fundamental analysis), pointing attention to performance analysis to the overview of a portfolio of financial instruments (analysis based on the report yield/risk of components in a portfolio).

Authors and Affiliations

Mădălina - Gabriela ANGHEL

Keywords

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  • EP ID EP151103
  • DOI -
  • Views 164
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How To Cite

Mădălina - Gabriela ANGHEL (2012). Theoretical Aspects Concerning the Use of the Markowitz Model in the Management of Financial Instruments Portfolios. Revista Romana de Statistica, 60(4), 259-264. https://europub.co.uk/articles/-A-151103