
Mark Carhart
Mark Carhart is a prominent figure in the field of finance, known primarily for his work in asset management and quantitative investing. He gained recognition for his research on risk factors that influence stock returns and is well-known for his role in developing investment strategies that aim to outperform the market. Carhart is also credited with creating the Carhart Four-Factor Model, which expands on traditional models by incorporating additional factors like momentum to better explain stock performance. His insights have significantly influenced how investors approach and understand market dynamics.