A Nobel Prize winner, an internationally acclaimed economist, Professor Harry M. Markowitz is best known for his pioneering work in modern portfolio theory, studying the effects of asset risk, correlation and diversification on expected investment portfolio returns.
Superfund held a video conference live with Prof. Markowitz where he demystified Modern Portfolio Theory and answered questions from investors all over the world.
More than 50 years after its first publication, his research is still being utilized by fund managers and institutional investors around the world to maximize returns and reduce risks.
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