Andreas Bondo Nielsen

More than 10 years of experience meeting all types of equity managers from all over the world provides Andreas with a solid foundation and tools to select only the best. He is a master in datamining and understands the complicated process of getting the best risk adjusted returns through portfolio construction.

Prior to joining Petersen & Partners Investment Management Andreas was Portfolio Manager at Unipension Investment Management.

Andreas is an experienced user of Bloomberg, Barra and Mercer systems for evaluating quantitative performance including style analysis and other risk assessments. Similarly, he has regularly used such quantitative tools for portfolio construction and monitoring purposes. For risk management purposes Andreas is experienced in handling derivatives as an integrated part of the portfolio construction.

Using these tools Andreas has also created global portfolios of listed companies with special focus on climate related issues.

Andreas holds a Master of Science in Finance (MSc) from Copenhagen Business School.

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