Master of Science (M.Sc.) (Economics and Finance (Cand.polit finance))
2013-2015
Columbia University in the City of New York
Visiting student (GPA: 3.8)
2013-2014
London School of Economics and Political Science
Analysis and Management of Financial Risk (A+)
2012-2012
Københavns Universitet / University of Copenhagen
Bachelor's degree (Economics)
2009-2012
Johan Andersen Skills
Statistics
Econometrics
VBA
Financial Analysis
Financial Econometrics
R
Quantitative Finance
Investments
Quantitative Risk
Risk Management
Financial Risk
Financial Modeling
SQL
Economics
SAS programming
Matlab
Market Risk
Johan Andersen Summary
Johan Andersen, based in Denmark, is currently a Portfolio Manager at Sampension. Johan Andersen brings experience from previous roles at J.P. Morgan, S&P Global Ratings and Saxo Bank. Johan Andersen holds a 2013 - 2015 Master of Science (M.Sc.) in Economics and Finance (Cand.polit finance) @ Københavns Universitet / University of Copenhagen. With a robust skill set that includes Statistics, Econometrics, VBA, Financial Analysis, Financial Econometrics and more. Johan Andersen has 1 emails on RocketReach.
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