John H. Cochrane
About the Author
John H. Cochrane is a distinguished economist and professor at the Hoover Institution and Stanford University, renowned for his pioneering contributions to financial economics and asset pricing theory. With a career spanning decades, Cochrane has shaped modern understandings of risk, returns, and market dynamics through rigorous academic research and influential publications. His work bridges theoretical models with practical implications for investors and policymakers, earning him widespread acclaim in the field. As an engaging educator and commentator, Cochrane continues to explore the intersections of finance, macroeconomics, and public policy, offering insights that challenge conventional wisdom and inform global economic discourse.
