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Jarno Ilves Location
Finland
Jarno Ilves Work
2011 -now Head of Asset Management @
2006 -2011 Chief Dealer @
2000 -2005 Portfolio Manager @
2006 -now Member of Fund Management Group @ Bank of Finland Pension Fund
2020 -2024 Varainhoitotoimikunnan jäsen @
1994 -2000 Dealer @ Postipankki, Leonia Bank
Jarno Ilves Education
University of Vaasa
Master of Science (M.Sc.) (Economics)
1990-1994
Jarno Ilves Skills
Capital Markets
Fixed Income
Financial Markets
Bonds
FX Options
Asset Management
Economics
Investments
Trading
Portfolio Management
Banking
Derivatives
Risk Management
Bloomberg
Hedge Funds
Structured Products
Investment Banking
Credit Risk
Equities
Asset Allocation
Valuation
Financial Modeling
Team Leadership
Finance
Strategy
Project Management
Jarno Ilves Summary
Jarno Ilves, based in Finland, is currently a Head of Asset Management at Bank of Finland. Jarno Ilves brings experience from previous roles at Bank of Finland, Bank of Finland Pension Fund and Tampere University. Jarno Ilves holds a 1990 - 1994 Master of Science (M.Sc.) in Economics @ University of Vaasa. With a robust skill set that includes Capital Markets, Fixed Income, Financial Markets, Bonds, FX Options and more. Jarno Ilves has 1 emails on RocketReach.
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Top Bank of Finland (Suomen Pankki - Finlands Bank) Employees