Profil
Mr. Björn Österberg is a Chief Investment Officer & Head of Research at IPM Informed Portfolio Management AB. He is responsible for the management and development of IPM’s investment activities.
Mr. Österberg is a Member of the Investment & Risk Management committees.
He joined IPM in 2008 with extensive experience in managing quantitative research teams as well as in proprietary trading in a range of asset classes.
Prior to IPM, Mr. Österberg was a Head of Quantitative Research & Member of the Proprietary Trading Team at JP Bank, a Head of Quantitative Research at Unibank/Nordea, and a Senior Equity Portfolio Manager at AP4.
Mr. Österberg holds an M.Sc.
in Engineering Physics from the Royal Institute of Technology in Stockholm, and has several years of additional studies in both Financial Economics and Macro Economics from Stockholm University.
Anciens postes connus de Björn Österberg
| Sociétés | Poste | Fin |
|---|---|---|
IPM Informed Portfolio Management AB (Investment Management)
IPM Informed Portfolio Management AB (Investment Management) Investment ManagersFinance IPM-IM is an active, research-based manager which develops quantitative models in-house or in co-operation with affiliates. They focus on systematic macro and systematic equity investments which are available as managed accounts, structured products or in different fund formats, all engineered and tailored to fit individual clients’ risk constraints and performance objectives. The firm designs fundamental and systematic strategies in the belief that an asset’s market price fluctuates around fair value, seeking to add value by building models of short- and long-term determinants of return based on fundamental factors such as cash-flow, book value, dividend yield and sales statistics. | Directeur de la Recherche - Actions | 01/11/2021 |
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| Entreprise privées | 1 |
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IPM Informed Portfolio Management AB (Investment Management)
IPM Informed Portfolio Management AB (Investment Management) Investment ManagersFinance IPM-IM is an active, research-based manager which develops quantitative models in-house or in co-operation with affiliates. They focus on systematic macro and systematic equity investments which are available as managed accounts, structured products or in different fund formats, all engineered and tailored to fit individual clients’ risk constraints and performance objectives. The firm designs fundamental and systematic strategies in the belief that an asset’s market price fluctuates around fair value, seeking to add value by building models of short- and long-term determinants of return based on fundamental factors such as cash-flow, book value, dividend yield and sales statistics. | Finance |
















