Certificate in Quantitative Finance, CQF (Mathematical Finance)
2012 - 2012
Aarhus School of Business
Master's degree (Finance)
2003 - 2008
The London School of Economics and Political Science (LSE)
Summer school (Business Analysis and Valuation)
2007 - 2007
HEC Montréal
International Business (FInance and )
2005 - 2005
Morten Pedersen's Skills
Networking
Risk Analysis
Financial Risk Management
Financial Risk
Risk Management
Analytical Skill
Modeling
Analysis
Morten Pedersen's Summary
Morten Pedersen, based in Copenhagen, Capital Region, Denmark, is currently a Portfolio Manager at Sparinvest, bringing experience from previous roles at Nordea Investment Management, Nordea Markets, Capinordic Bank and Jyske Markets. Morten Pedersen holds a 2012 - 2012 Certificate in Quantitative Finance, CQF in Mathematical Finance @ Fitch. With a robust skill set that includes Networking, Risk Analysis, Financial Risk Management, Financial Risk, Risk Management and more, Morten Pedersen contributes valuable insights to the industry. Morten Pedersen has 2 emails on RocketReach.