The extraordinary risk-management discipline that developed out of the writings of the University of Chicago's Harry Markowitz in the 1950s produced insights that won several Nobel prizes in economics. It was widely embraced not only by academia but also by a large majority of financial professionals and global regulators.
上世紀(jì)50年代從芝加哥大學(xué)(University of Chicago)的哈里·馬科維茨(Harry Markowitz)著作中發(fā)展起來的非常風(fēng)險(xiǎn)管理理論產(chǎn)生了真知灼見,后來多次贏得了諾貝爾經(jīng)濟(jì)學(xué)獎(jiǎng)。這個(gè)理論不僅為學(xué)術(shù)界所接受,也為絕大多數(shù)金融專業(yè)人士及全球監(jiān)管部門廣泛接納。
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