Nordea Asset Management
Erik Hedenblad has work experience in various roles at two different companies. Erik started their career at SimCorp in 2007 as a Senior Business Consultant and then transitioned to the role of Senior System Developer in 2011. In 2014, they joined Nordea Asset Management, where they held multiple positions including Senior Analyst/Project Manager, Senior Risk Analyst, and currently serves as the Chief Risk Analyst.
Erik Hedenblad completed an Intermediate Course in Python at the University of Borås in 2023. In 2021, they also studied Machine Learning and Neural Networks at the same institution. In 2020, Erik took an Introduction to Programming in Python course, again at the University of Borås. Prior to that, they pursued a Master of Science in Financial Economics at Lund University from 2000 to 2002. Additionally, Erik earned a Master of Science in Electrical Engineering from the Faculty of Engineering at Lund University between 1995 and 2002. Erik also holds certifications in CFA Level 1 and 2 from the CFA Institute, which they obtained in 2010.
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Nordea Asset Management
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About Nordea Asset Management Nordea Asset Management is part of the Nordea Group, the largest financial services group in the Nordic region. NAM offers European and global investors’ exposure to a broad set of investment funds. We serve a wide range of clients and distributors which include banks, asset managers, independent financial advisors and insurance companies. Nordea Asset Management has a presence in Bonn, Brussels, Copenhagen, Frankfurt, Helsinki, Lisbon, London, Luxembourg, Madrid, Milan, New York, Oslo, Paris, Santiago de Chile, Singapore, Stockholm, Vienna and Zurich. Nordea's local presence goes hand in hand with the objective of being accessible and offering the best service to clients. Nordea’s success is based on a sustainable and unique multi-boutique approach that combines the expertise of specialised internal boutiques with exclusive external competences allowing us to deliver alpha in a stable way for the benefit of our clients. NAM solutions cover all asset classes from fixed income and equity to multi asset solutions, and manage local and European as well as US, global and emerging market products.