Export and Investment Fund of Denmark
Rasmus B. N. Godiksen is an experienced professional currently serving as Director and Head of Financial Risk and Models at Danmarks Eksport- og Investeringsfond since October 2020. Prior to this role, Rasmus held various positions at Danske Bank as Chief Analyst and at Nordea, where responsibilities included leading the Market Risk Models team and managing the Derivatives Desk Quants. With a PhD in Materials Science from Risø National Laboratory and a Master’s degree in Mathematics and Physics from Roskilde University, Rasmus possesses a strong academic foundation complemented by extensive expertise in financial modeling, risk management, and quantitative analysis across various financial institutions.
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