mgnfi
Mads Gjedsted Nielsen holds a PhD in Finance (2014) from Copenhagen Business School. Prior to this he obtained a BSc and MSc in Business Administration and Management Science (cand. merc. mat), from Copenhagen Business School.
Fields of interest is Empirical Asset Pricing.
Topics of interest; Investing, Asset Allocation, Volatility modelling.
• Currently employed as Senior Portfolio Manager at ATP and part time as External Lecturer at the Department of Finance, Copenhagen Business School.
• Previously worked at PKA, Nordea Markets, and Pensam.
• Former visiting scholar at Haas School of Business, UC Berkeley.
• Lectures, exercise classes, examination and grading in Statistics at HD in Finansiering (Graduate Diploma in Business Administration (Finance)).
• Supervisor (supervision and grading) on Master theses for several MSc lines (Cand.Merc.Mat, Cand.Merc. FIR, Cand.Merc.OECON, Cand.Merc.FIN).