Munich Area, Germany
Head of Asset Pricing & Analysis at MEAG
Investment Management
Education
TU Munich 1982 — 1988
diploma in math and physics, Physics and Finance; Pure and Applied Math
Max-Born-Gymnasium 1972 — 1981
university entrance diploma, Matriculation mark 1.0 (best possible)
Experience
MEAG April 2013 - Present
MEAG September 2002 - March 2013
MEAG October 2000 - August 2002
Swiss Life Germany May 1997 - September 2000
Bayrische Hypotheken- und Wechsel-Bank April 1996 - April 1997
Bayrische Hypotheken- und Wechselbank April 1994 - March 1996
Bayer. Hypotheken- und Wechsel-Bank AG November 1993 - March 1994
Technical University of Munich January 1989 - October 1993
Skills
Financial Risk, Stress Testing, Capital Markets, Structured Finance, Credit Derivatives, Asset Management, Economic Capital, Trading, Capital Management, Equity Derivatives, Financial Markets, Credit Analysis, Structured Products, ALM, Hedging, Credit Risk, Risk Management, PE, Credit, Fixed Income, Valuation, Quantitative Finance, Swaps, Enterprise Risk..., Liquidity, FX, Bloomberg, Risk, Commodities, Solvency II, Financial Modeling, Hedge Funds, Risk Mitigation, Insurance, VAR, Portfolio Management, Derivatives, Investments, Risk Assessment, Options, Model Validation, Interest Rate Risk..., Quantitative Analysis, Due Diligence, Risk Analytics, Risk Analysis, Market Risk, Alternative Investments, Economics, Liquidity Risk