Claus Hvalsøe has extensive experience in the finance industry, starting as a Portfolio Manager at CSFB and transitioning through various roles in companies such as Danske Bank, ATP, and Velliv. With a strong background in mathematics and economics from the University of Copenhagen, Claus has specialized in portfolio construction, risk management, and quantitative trading throughout their career. Their expertise in fixed income derivatives, algorithmic trading, and asset allocation has been instrumental in shaping investment strategies and processes in the organizations Claus has worked for.
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