Marcin Wojtowicz is an experienced finance professional with notable expertise in investment analytics, risk modeling, and academic research. Holding a PhD in Finance from VU University Amsterdam, Marcin's research focused on risks and returns of CDO tranches, liquidity in credit markets, and equity-bond arbitrage. Marcin's career includes roles at UBS Asset Management as a Director in ETF and Index Fund Investment Analytics, where responsibilities encompass client engagement and ETF representation at conferences. Prior experience includes a position as a Risk Modeling & Analytics Specialist at UBS and an internship at the European Central Bank. Marcin's educational background features summa cum laude degrees in Economics and Mathematics from the University of Warsaw and a Master of Philosophy in finance and econometrics from the University of Amsterdam.
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