Stockholm, Sweden
Head of Asset Management at Bliwa Livförsäkring
Financial Services
Education
Kungliga tekniska högskolan 1999 — 2005
Master of Science in Engineering Physics, Financial Mathematics
Södertörn University 2001 — 2002
Business Economics, Statistics
Pitedalens Folkhögskola 1994 — 1998
Social Science, Natural Science, Mathematics, Physics, Chemistry, Physiology
Experience
Bliwa Livförsäkring October 2014 - Present
FCG - The Financial Compliance Group November 2012 - October 2014
Länsförsäkringar March 2011 - October 2012
PricewaterhouseCoopers June 2010 - March 2011
Länsförsäkringar January 2007 - June 2010
Länsförsäkringar January 2006 - December 2006
Swedbank Robur June 2005 - December 2005
SCA October 2004 - March 2005
SkandiaBanken August 2001 - September 2002
Skills
Risk Assessment, Basel II, Basel III, Risk Analysis, Financial Regulation, Investments, Portfolio Optimization, Financial Markets, Portfolio Management, Financial Instruments, ALM, Actuarial Science, Financial Risk, Operational Risk, Market Risk, Risk Modeling, Financial Services, Capital Markets, Governance, Economic Capital, Insurance, Investment Strategies, Quantitative Finance, Finance, Structured Products, Asset Managment, Valuation, Fixed Income, Quantitative Analytics, Analysis, Asset Management, Enterprise Risk..., Equity Derivatives, Asset Allocation, Quantitative Analysis, Risk Management, Solvency II, Banking, Credit Risk, Mutual Funds, Investment Banking, Matlab