From high school ,He entered University of Chicago.After finishing the bachelor's degree, Markowitz decided on Economics. 中学毕业后,进入芝加哥大学,获得学士学位后,马科维茨选择了经济学。
We state Markowitz's risk diversification and it's significance.Then, we explain how Markowitz used his theory to present portfolio selection theory. 首先论述了马科维茨的风险分散化理论及其方法论意义,接着说明了马科维茨运用风险分散化思想而提出的资产组合选择理论及其启示。