Johan Rosager, né Andersson, is an experienced professional in the field of investment banking and financial markets, currently serving as an Associate in Debt Capital Markets at SEB since September 2021, specializing in Corporate High Yield Bond Origination. Prior roles at SEB included Analyst in the same department and an International Trainee, during which multiple rotations were completed across various sectors of investment management and private wealth. Additionally, Johan has a background as a Risk and Asset Management Analyst at OQAM, contributing expertise in trade execution, risk analysis, and portfolio management. Johan's prior experiences also encompass roles such as Global Innovation Centre Consultant at UNOPS, Summer Analyst at BNP Paribas, and Quantitative Analyst at LINC - Lund University Finance Society, where a successful credit default swaps strategy was developed. Johan holds a diploma in Trading and Financial Markets Analysis from LIBF and a higher education preparatory diploma in Natural Science from S:t Petri Läroverk, with further engagements in prestigious programs at firms including Deloitte, McKinsey & Company, and the Boston Consulting Group.
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