Ronald N. Kahn
1 book
About the Author
Ronald N. Kahn is a leading expert in quantitative finance and portfolio management. With decades of experience in investment research and strategy, he has shaped how professionals approach risk control and return optimization. His work bridges academic theory and practical application, offering clear frameworks for building disciplined, data-driven portfolios. Kahn is widely respected for translating complex quantitative concepts into actionable insights for both practitioners and students of finance.
Writing style
analytical
precise
accessible
Books by Ronald N. Kahn
