Eric G. Falkenstein
About the Author
Eric G. Falkenstein is a renowned economist and financial theorist whose work challenges conventional wisdom in investment and risk management. With a PhD in finance and decades of experience in quantitative analysis, he has held key roles at major institutions, applying his expertise to uncover inefficiencies in traditional models. Falkenstein's insights reveal why low-volatility strategies outperform high-risk approaches, offering practical guidance for investors seeking sustainable returns. His writing demystifies complex economic principles, blending rigorous data with accessible prose to empower readers in navigating volatile markets. Beyond academia, he contributes to policy discussions on financial stability, advocating for evidence-based reforms that prioritize real-world outcomes over theoretical ideals.
Books by Eric G. Falkenstein
