
Larry Connors Biography, Career, Net Worth, and Key Insight



Larry Connors’s Profile Summary
Company
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Connors Research |
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Position
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Managing Director at Connors Research, LLC. He is also the Chairman of The Connors Group |
Source of wealth
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Trading strategies, book sales, consulting fees, proprietary research services through Connors Research, educational seminars and courses. |
Also known as
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Author of trading books, educator, technical trading strategy developer. |
Age
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Unknown |
Education
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No verifiable details about formal education available. |
Citizenship
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United States |
Residence
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New York City, USA |
Family
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Publicly unavailable. |
Website, Social Media
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https://connorsresearch.com/ |
Larry Connors’s biography
Larry Connors is a highly respected figure in the financial industry, known for his over 30 years of experience in trading and market research. His career is deeply rooted in systematic and quantitative trading strategies, particularly in the area of mean reversion and volatility trading. Connors has authored more than 20 books on trading, which have been used by individual investors, hedge funds, and trading firms worldwide. One of his most renowned contributions is the development of the Connors RSI, a technical indicator widely used to identify overbought and oversold conditions in the market. Additionally, Connors has been featured in leading financial media such as The Wall Street Journal, Bloomberg, and Barron’s, and he has spoken at various investment seminars globally. His company, Connors Research, focuses on providing data-driven research and trading strategies, which are known for their emphasis on disciplined, mechanical approaches. Connors is also recognized for pioneering strategies such as the Double Seven and TPS (Time/Price Scale-in) model, which have become popular in the trading community for managing risk and optimizing returns-
How did Larry Connors make money?
Larry Connors makes money in the following areas:
Trading strategies, book sales, consulting fees, proprietary research services through Connors Research, educational seminars and courses.
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What is Larry Connors net worth?
As of 2025, there is no publicly available and reliable information regarding Larry Connors’s net worth.
What is Larry Connors also known as?
Larry Connors is widely recognized as an influential author and educator in the financial markets. He has written several best-selling books on trading strategies, including "High Probability ETF Trading" and "How Markets Really Work", which have become standard references for traders seeking quantitative methods. Additionally, Connors is known for developing technical indicators, such as the Connors RSI, which has been adopted by traders globally. Through his educational programs, books, and seminars, he has helped both individual and institutional investors refine their trading strategiesProminent achievements of Larry Connors
Larry Connors is known for pioneering mean reversion trading strategies, recognized for his book "High Probability ETF Trading", creator of the widely used Connors RSI indicator, contributor to financial media including The Wall Street Journal and Bloomberg, developed strategies that have been used by individual traders and institutions alikeWhat are Larry Connors’s key insights?
Larry Connors emphasizes systematic, mechanical trading to remove emotional biases from decision-making. He advocates for disciplined strategies based on quantitative data, such as mean reversion and volatility models. Connors believes in "buying fear and selling greed," using contrarian approaches to capitalize on market inefficiencies, particularly through indicators like the Connors RSI. He also encourages using trading models that maximize risk-adjusted returns while avoiding emotional overrides
Larry Connors’s personal life
No publicly available detailed information about his family.
Useful insights
Understanding market forces
In my experience, to truly succeed as an investor, it’s essential to understand the driving forces behind market behavior. Market movements aren’t random—they’re influenced by a range of economic theories and dynamics. The following books provide valuable insights into these forces, offering a deeper understanding of how global financial markets operate and what shapes their trends.
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Nassim Nicholas Taleb – "The Black Swan"
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Summary:
Taleb explores the concept of rare, unpredictable events—so-called "Black Swans"—that can have massive impacts on markets and society. These events are often overlooked by traditional risk management models, leading to devastating consequences when they occur. Taleb illustrates how these unpredictable shocks shape our world, often more than gradual, expected changes.
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Why read it:
This book challenges conventional thinking about risk and uncertainty, showing that many major historical and financial events were "Black Swans." It's a vital read for investors who want to build resilience in the face of market volatility.
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John Maynard Keynes – "The General Theory of Employment, Interest, and Money"
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Summary:
Keynes revolutionized economics by focusing on total demand within an economy and its effect on output and inflation. His theory suggested that government intervention could stabilize economic cycles through fiscal and monetary policy. The book also explains the consequences of under-consumption and the role of interest rates in managing economic stability.
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Why read it:
For investors interested in macroeconomic trends and policy impacts, Keynes’ work is essential. Understanding the Keynesian framework can help investors predict how government actions might influence market performance.
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