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Søren Agergaard Andersen holds a MSc in Mathematics-Economics (cand.scient.oecon) from Copenhagen University.
Fields of interest include Financial markets, Financial instruments, Asset valuation, Mathematical finance, Risk management, Corporate finance.
Søren is currently employed as Chief Risk Officer in Nordea Investment Management and part time as External Lecturer at the Department of Finance, Copenhagen Business School.
More than 25 years of experience from the financial sector. Has held senior positions in pension, bank and asset management.
Supervisor (supervision and grading) on:
• Master Theses and Business Projects for the M.Sc. in Economics and Business Administration program (cand.merc.fir, cand.merc.aef), M.Sc. in Business Admin-istration and Management Science (cand.merc.mat).
• Bachelor Projects and Finance Projects for the BSc in Economics and Business Administration program (HA Almen).