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<p>Markowitz realized that the theory lacks an analysis of the impact of risk. This insight led to the development of his seminal theory of <a href="page.php?w=Portfolio_%28finance%29">portfolio</a> allocation under uncertainty, published in 1952 by the <a href="page.php?w=Journal_of_Finance">Journal of Finance</a>.</p>

<p>In 1952, Harry Markowitz went to work for the <a href="page.php?w=RAND_Corporation">RAND Corporation</a>, where he met <a href="page.php?w=George_Dantzig">George Dantzig</a>. With Dantzig's help, Markowitz continued to research</p><p>
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