Shawn R. Keel is a Portfolio Manager and principal quantitative strategist at Quoin Capital Analytics (QCA) / Worldsource Securities Inc. (WSI). At QCA/WSI, he oversees all research, design, and portfolio construction for
systematic equity, options, and volatility models. Shawn’s three-decade career encompasses the secular bull market of the 1990s, the dot-com boom and bust, and the Global Financial Crisis—formative episodes that shaped his belief that disciplined, data-driven risk management is essential for long-term compounding. Shawn is a Chartered Financial Analyst (CFA) and Chartered Market Technician (CMT) charter holder and an active CFA Institute and CMT Association member.
Shawn R. Keel
Contributions
Technically Speaking |
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Technically Speaking, June 2025 |
Shawn R. Keel is a Portfolio Manager and principal quantitative strategist at Quoin Capital Analytics (QCA) / Worldsource Securities Inc. (WSI). At QCA/WSI, he oversees all research, design, and portfolio construction for
systematic equity, options, and volatility models. Shawn’s three-decade career encompasses the secular bull market of the 1990s, the dot-com boom and bust, and the Global Financial Crisis—formative episodes that shaped his belief that disciplined, data-driven risk management is essential for long-term compounding. Shawn is a Chartered Financial Analyst (CFA) and Chartered Market Technician (CMT) charter holder and an active CFA Institute and CMT Association member.
Contributions
Technically Speaking |
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Technically Speaking, June 2025 |
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