Antti Suhonen
Professor of Practice in Finance, Aalto University School of Business, Helsinki
The Role of Short Volatility Strategies in Institutional Portfolios
Monday, September 9, 2019
5:00 pm

Antti Suhonen is a Professor of Practice in Finance at Aalto University School of Business. He also works as a consultant and advisor to clients in the financial services sector, with a focus on alternative investments and financial markets. His teaching and research interests include alternative investments, risk premia strategies, financial institutions, and fixed income and credit markets.

He previously held various derivatives structuring,product development, sales, and trading roles in investment banking over two decades, most recently as Managing Director at Barclays Capital, concentrating on alternative investments and quantitative investment strategies.

Antti holds an M.Sc. (Economics) and a Ph.D. (Finance) from Helsinki School of Economics and Business Administration.

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