Olli Haavanlammi, CFA, FRM, is an experienced finance professional currently serving as a Portfolio Manager at Elo since June 2017, where responsibilities include FX risk overlay management and equity overlay strategies. Prior roles at Elo include Portfolio Analyst and Quantitative Risk Manager, focusing on asset allocation analysis, asset-liability modeling, and solvency capital requirement calculations. Olli's experience also includes positions at Nordea Markets as Portfolio Analyst and Associate Sales Manager, specializing in cross asset portfolio analysis and interest rate derivatives. Earlier career stages feature an investment analyst role at Taaleritehdas Group, concentrating on financial modeling and M&A structuring. Olli holds a Master's Degree in Economics from the University of Tampere and is currently pursuing a Ph.D. in Economics at the University of Helsinki. Additionally, Olli completed finance studies as an exchange student at Texas McCombs School of Business.
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