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Quantitative Finance Expert & Risk Strategist

Ron Piccinini is a quantitative finance specialist with over two decades of experience in portfolio risk management, high-performance computing, and financial engineering. He holds a Ph.D. in Quantitative Finance and has consulted for major financial firms and RIAs, developing advanced models for managing tail risk and optimizing investment strategies. Ron is known for bridging rigorous analytics with practical, technology-driven solutions for wealth management and capital markets.

Ron is passionate about helping individuals and groups think differently in order to make better decisions.  He sees poor-decision-making as more than a personal risk, but a systemic inefficiency with trillions of dollars in unrealized potential.