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Kevin Khang

Kevin Khang

Kevin Khang, Ph.D., is a Senior International Economist and head of a global economic research team that develops Vanguard’s long-term and cyclical economic outlook. His areas of expertise include econometric forecasting, portfolio construction, risk management, tax-aware investing, and household finance.

Kevin joined Vanguard in 2017 as a senior risk manager with the firm’s Quantitative Equity Group and subsequently served as head of active and alternatives research before assuming his current role. Earlier in his career, he was a director at BlackRock and a senior quantitative researcher at State Street Global Advisors.

Kevin has published widely on topics such as financial crisis and deleveraging, volatility forecasting and risk management, factor portfolio construction, tax-aware investing, direct indexing, and the role of housing wealth in retirement. His research has been presented to global policymakers, portfolio managers, academics, and financial advisors. His work is frequently featured in the news media.

Kevin holds a Ph.D. in finance from Northwestern University, an M.A. in economics from the University of British Columbia, and a B.A.H. in economics from Queen’s University in Kingston.

Articles

Globalization and inflation

By Kevin Khang (Published on 08-23-2024)

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