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 Skills
Networking
Risk Analysis
Financial Risk Management
Financial Risk
Risk Management
Analytical Skill
Modeling
Analysis
Morten Pedersen Summary
Morten Pedersen, based in Copenhagen, DK, is currently a Portfolio Manager at Sparinvest. Morten Pedersen brings 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 has 2 emails on RocketReach.
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