Certificate in Advanced Risk and Investment Management (Finance)
2017 - 2019
Stockholm School of Economics
(Advanced Investment Management)
2011 - 2012
Uppsala University
M.Sc. (Economics, Statistics & Political Science)
1997 - 1999
Oxford Brookes University
(Economics & Business Studies)
1996 - 1997
Växjö University
B.Sc. (Economics & Political Science)
1994 - 1996
växjö katedralskola
1989 - 1992
Anders Johansson Skills
Asset Allocation
Portfolio Management
Asset Management
Macroeconomics
Investment Strategies
Alternative Investments
Derivatives
Bloomberg
Options
Hedging
Anders Johansson Summary
Anders Johansson, based in Gothenburg, SE, is currently a Portfolio Manager, Macro Strategy and Asset Allocation at AP2, Andra AP-fonden. Anders Johansson brings experience from previous roles at Swedbank Robur. Anders Johansson holds a 2017 - 2019 Certificate in Advanced Risk and Investment Management in Finance @ Yale School of Management. With a robust skill set that includes Asset Allocation, Portfolio Management, Asset Management, Macroeconomics, Investment Strategies and more. Anders Johansson has 3 emails and 1 mobile phone numbers on RocketReach.
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