Gustav Bengtsson, CFA, has extensive experience in portfolio management and trading, currently serving as a Portfolio Manager at Industrivarden since April 2014, focusing on macroeconomic trends and the banking sector while being a member of the investment committee. Prior roles include trading complex risk and exotic derivatives at Danske Markets, where responsibilities encompassed hedging and secondary market trading. Earlier experience includes cross-asset sales of structured products at Swedbank Markets and managing mortgage bond portfolios at Nykredit Asset Management. Gustav also has a technical background in risk management systems from SimCorp and developed a pricing model for Credit Default Swaps during the master's thesis at Nordea Markets. Educational qualifications include a CFA Charterholder from the CFA Institute and a Master’s degree in Industrial Management and Engineering from Lund University.
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