Mads Nielsen

Mads Nielsen

Market Strategist at
Asgard Asset Management A/S

Profile

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.

Mads Nielsen active positions

CompaniesPositionStart
Market Strategist 01/03/2017

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