David Sjöblom has a strong background in risk management and financial analysis. David has had roles in several notable companies, starting in 2006 with NASDAQ OMX as a Quantitative/Financial Analyst. In this role, they developed models to quantify counterparty risk exposures and successfully managed the defaults of clearing members. David was also involved in implementing risk management processes for clearing of OTC interest rate instruments.
From 2010 to 2012, David served as the Managing Director of Risk Management at NASDAQ OMX, where they redesigned and implemented a new capital structure for the European clearing business. David also oversaw the implementation of models and risk management processes for clearing Nordic equity and fixed income derivatives.
Following their time at NASDAQ OMX, David joined NASDAQ OMX Commodities Clearing as a Risk Manager, where they were responsible for managing risks in the physical power and natural gas markets and aligning risk management practices with the Nasdaq OMX Group.
In 2014, David transitioned to NASDAQ, where they held the position of Head of Risk Modelling. David led a team of experts in quantitative risk analysis and software development, responsible for developing risk and valuation models and designing the overall risk framework at Nasdaq Clearing. David also worked on various projects, including setting up a new clearing platform for FX derivatives and implementing liquidity and credit stress testing frameworks.
Most recently, David has been a Partner at Credo Capital Partners since 2020. David is now set to join Nordnet Bank AB in 2023 as the Head of Credit Risk.
David Sjöblom received their MSc degree in Industrial Engineering & Management from Linköping University, where they studied from 2000 to 2006. In 2002 and 2003, they participated in the Erasmus program at Grenoble INP - UGA, focusing on their field of study.
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