Antti Ilmanen
Ilmanen investigates the intersection of academic research and practical investment management through his work, focusing on understanding expected returns across asset classes and the challenges posed by low expected returns. His writing, particularly in his books "Expected Returns" and "Investing Amid Low Expected Returns," provides a synthesis of complex economic theories with actionable insights, enabling practitioners to navigate market conditions with informed strategies. By leveraging his expertise in yield curve analysis and global bond markets, Ilmanen bridges theoretical finance with real-world application, offering investors tools to tackle limited return prospects.\n\nThroughout his career, Ilmanen has positioned himself as a crucial conduit between academic insights and market realities, making significant contributions to the discourse on investment strategies. His role as Principal and Global Co-head of the Portfolio Solutions Group at AQR Capital Management underscores his commitment to advising institutional investors with innovative, research-backed solutions. Meanwhile, his work has garnered numerous accolades, including the CFA Institute's Leadership in Global Investment Award, highlighting the impact of his research and writings on the financial industry. As an author, Ilmanen continues to influence both academics and practitioners, offering a bio rich with insights for anyone interested in the evolving landscape of investment management.
Books by Antti Ilmanen

Investing Amid Low Expected Returns
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