Mads Nielsen

Mads Nielsen

Stratège de marché chez Asgard Asset Management A/S

Profil

Dr. Mads Nielsen is a Chief Quantitative Strategist at Asgard Asset Management A/S.
Prior to joining Asgard in March 2017, Dr. Nielsen worked twelve years in London at the hedge funds Brevan Howard and GLG Partners, and 2016-17 he was Quantitative Strategist at Schroders Asset Management.
He has taught fixed income volatility modelling at the University of Oxford (2015-20).
He began his finance career at Nordea Markets in 1999 and from 1997-99 he was at AP Moller/Maersk.
He completed his PhD in theoretical physics in 1997 at the Niels Bohr Institute, University of Copenhagen and has also studied at University of California, Berkeley.

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Stratège de marché 01/03/2017
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