Henrik is a cross asset specialist at Nordea Bank. Henrik Joined Nordea in 2015 as a portfolio manager in Nordea Life & Pensions – with focus on liability hedging and risk premia trades. Henrik has now moved to a position in Nordea Bank and with responsibilities for the investment offering across the retail, private and corporate banking in the Nordic countries.
Henrik’s main focus is within liquid alternatives and sustainable investment products. He further oversees the investment advice given in Nordea Bank in terms of risk profiling, strategic asset allocation and investment products.
Henrik holds a master’s degree in economics and econometrics from the University of Copenhagen.