Mark Mattila is a seasoned finance professional with extensive experience in portfolio management and investment analysis. Currently serving as a Portfolio Manager at Säästöpankkiryhmä since September 2018, Mark manages the Säästöpankki Yrityslaina corporate bond fund and contributes to fixed income allocation decisions. Prior to this role, Mark spent a decade at FIM in various capacities, including Portfolio Manager of funds such as FIM Alpha and FIM Euro HY, and Analyst in Alternative Investments, where responsibilities included operative and investment due diligence of Asian hedge funds. Mark also possesses a background in equity analysis, focusing on company valuation and sector-specific research. Education includes a Master of Science in Finance from Hanken School of Economics, completed in 2008.
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