Anders G Johansson
Portfolio Manager, Macro & Tactical Asset Allocation at AP2, Andra AP-fonden- Claim this Profile
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English Full professional proficiency
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German Limited working proficiency
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Bio
Experience
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AP2, Andra AP-fonden
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Sweden
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Capital Markets
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1 - 100 Employee
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Portfolio Manager, Macro & Tactical Asset Allocation
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Jun 2008 - Present
Focusing on macroeconomic developments and tactical asset allocation. Also involved in the research of more long term investment strategies such as alternative risk premias and ALM-work. Focusing on macroeconomic developments and tactical asset allocation. Also involved in the research of more long term investment strategies such as alternative risk premias and ALM-work.
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Swedbank Robur
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Sweden
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Financial Services
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200 - 300 Employee
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Portfolio Manager, Asset Allocation
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Mar 2003 - Jun 2008
Portfolio manager with asset allocation tilt, such as fund-of-funds, discretionary asset allocation mandates, as well as building up the framework and managing target retirement funds.
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Research Analyst
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Mar 2001 - Mar 2003
Research Analyst focusing on macroeconomic developments, including forecasting.
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Trainee
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Apr 2000 - Feb 2001
Trainee within the organisation such as analyst in the Risk and Performance Department, client support, sales statistics amongst other duties.
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Education
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Yale School of Management
Certificate in Advanced Risk and Investment Management, Finance -
Handelshögskolan i Stockholm / Stockholm School of Economics
Advanced Investment Management -
Uppsala universitet / Uppsala University
M.Sc., Economics, Statistics & Political Science -
Oxford Brookes University
Economics & Business Studies -
Växjö universitet / Växjö University
B.Sc., Economics & Political Science -
växjö katedralskola