Markowitz怎么读,Markowitz的音标和真人发音
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Markowitz是什么意思,Markowitz的意思是

[人名] 马科维茨

Markowitz 的用法和双语例句“点击”或“选中”例句中的单词,就可以看到词义解释

If it 's mr. markowitz , he 's holding a big pen , a marking pen and he 's marking a witch , mark a witch get the picture ?
如果是markowitz先生,他拿着一支大钢笔,一支记号笔,正在给一个巫婆做记号能够想象这幅图画吗?
Asset investment theory was first used by well-known american economist harry markowitz who the founder of portfolio theory systematic proposed in 1952 .
资产投资理论最早是由证券组合理论公认的创始者、美国著名经济学家哈里61马科维茨(harrymarkowitz)于1952年系统的提出。
Dr. markowitz , like nearly every other leading scientist in colon cancer genomics , is an author of the new study .
马科维茨博士,与结肠癌基因组学的几乎所有其他的领先科学家一样,是这项新研究论文的作者之一。
Abstract : in 1952 markowitz proposed the portfolio theory and created the analysis way in financial mathematics , which was an important theoretical basis in modern financial economics .
马科维茨(markowitz)1952年提出的组合投资理论开创了金融数理分析的先河,是现代金融经济学的一个重要理论基础。
The basis for what is known as modern portfolio theory was laid in the early 1950s by harry markowitz , an economist at the university of california .
现代投资组合理论的基础,是20世纪50年代初由加州大学(universityofcalifornia)经济学家哈里马柯维茨(harrymarkowitz)奠定的。
Portfolio theorists have produced a variety of sophisticated methods to try to update markowitz 's ideas for an uncertain world .
研究投资组合理论的专家们发明了多种复杂方法,试图改良马科维茨的理论,使之适应充满不确定性的真实世界。
Before the publication of prof markowitz 's paper , portfolio selection , investors focused on the risks and rewards of individual securities .
在马柯维茨教授的论文《投资组合选择》(portfolioselection)发表之前,投资者的关注点都放在单个证券的风险和回报上。
Solution instability limit the application of markowitz model at the development of asset allocation policy .
解的不稳定性限制了马考威茨模型在实际制定资产配置政策方面的应用。
Optimal asset allocation about pension fund to assess - markowitz model compare with time-series model .
劳退基金最适资产配置模式之评估马可维兹模型与时间序列模型之比较。
Mean-variance model that harry m. markowitz has put forward in 1952 indicates the naissance of modern portfolio theory .
现代投资组合理论的产生以1952年马克维茨提出均值方差模型为标志。