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Mark Mattila Location
Helsinki, FI
Mark Mattila Work
2018 -now Portfolio Manager @
2013 -2018 Portfolio Manager @
2012 -2013 Analyst, Alternative Investments @
2008 -2012 Equity Analyst @
2006 -2008 Administration, brokerage @
Mark Mattila Education
Hanken School of Economics
M.Sc. (Finance)
2003-2008
Mark Mattila Skills
Fixed Income
Fund of Funds
Due Diligence
Leadership
Equity Valuation
Capital Markets
Portfolio Management
Microsoft Excel
Trading
Mutual Funds
Manager Selection
Nordic
Investments
Financial Modeling
Equity Research
Alternative Investments
Hedge Funds
Estimates
Management
Financial Markets
Analysis
Valuation
Alternative Assets
Pertrac
Bloomberg
Asset Management
Consumer Goods
Fund Screening
Equities
Asset Allocation
Mark Mattila Summary
Mark Mattila, based in Helsinki, FI, is currently a Portfolio Manager at Säästöpankkiryhmä. Mark Mattila brings experience from previous roles at FIM. Mark Mattila holds a 2003 - 2008 M.Sc. in Finance @ Hanken School of Economics. With a robust skill set that includes Fixed Income, Fund of Funds, Due Diligence, Leadership, Equity Valuation and more. Mark Mattila has 1 emails on RocketReach.
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