Article
From Markowitz 1.0 to Markowitz 2.0 with a Detour to Postmodern Portfolio Theory and Back
Paul D. Kaplan
The Journal of Investing Spring 2017, 26 (1) 122-130; DOI: https://doi.org/10.3905/joi.2017.26.1.122
Paul D. Kaplan
is director of research for Morningstar Canada in Toronto, Canada.
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From Markowitz 1.0 to Markowitz 2.0 with a Detour to Postmodern Portfolio Theory and Back
Paul D. Kaplan
The Journal of Investing Feb 2017, 26 (1) 122-130; DOI: 10.3905/joi.2017.26.1.122
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