Mikkel is a progressive investment professional with more than 25 years of experience in top level banks, combined with running a independent trading & advisory business for the last 2 decades. He has a consistant trackrecord including managing trading desks and advising globally on interest rate and FX risk. Furthermore specialist in market making and taking trading risk to generate above average returns.
Head of currency management team running several different currency investment processes, amongst others an Absolute return discretionary forex process and a higher vol target systematic forex strategy products included absolute return funds and managed accounts, as well as active and passive currency overlay mandates.
As a 25 year veteran of the Commodity & foreign exchange markets, he has been responsible for currency strategy and trading for several high profile clients who are allocated within the currency space. He is managing an alpha driven portfolio of G10 currencies, as well as a number of other hedging programs and strategies. A specific approach to multi strategy/multi manager investing has also been a primary within the last 5 years. Mikkel has also been responsible building out the Currency & derivatives desks, including infrastructure, technology, liquidity providers and reporting.
Having started trading currencies in 1992, I have gained the expertise to manage risk through times of calm, as well as times of extreme market stress, Apart from overseing the day to day strategy development, I sit on several investment management & advisory boards, participating with knowledge within investment management & currency management in particular.
I do also act as advisor on several ICO's/ITO's, both pre - but also post launch.