Dr. Ronn’s research and teaching interests focus on the valuation of energy commodity-contingent securities. He has published articles on investments, interest rate-sensitive instruments and energy derivatives in the academic and practitioner literature, including Journal of Finance, Journal of Business, American Economic Review and Energy & Power Risk Management. He is the editor of Real Options and Energy Management: Using Options Methodology to Enhance Capital Budgeting Decisions.
Prior to joining the University of Texas at Austin in July 1988, Dr. Ronn was a faculty member of the business schools at the University of California, Berkeley, and the University of Chicago.
Professor Ronn received his B.Sc. and M.Sc. from Technion, Israel Institute of Technology, and his Ph.D. from Stanford University.