Marek Ozana
Portfolio Manager @Seb Investment Management Ab
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WORK HISTORY
Portfolio Manager @Seb Investment Management Ab
Stockholm, SE
EDUCATION
SwedSec
SwedSec License
Charles University
Mgr, Theoretical Physics
Umeå University
Ph.D., Theoretical Physics
CFA Institute
CFA Chartholder, Finance
ABOUT MAREK OZANA
I have always loved physics, ever since I broke my neighbors\' window while observing the parabolic trajectory of a stone, won the Physics Olympics competition, and defended my Ph.D. thesis on the quasiclassical theory of superconductivity. Why? Because it involves simplifying extremely complex problems to their core and finding innovative solutions to them. Now, as a quantitative portfolio manager, I no longer do physics. However, I do identify, simplify, and solve complex problems for our clients, whether it be developing algorithms for Jeppesen Boeing that solve previously \"impossible\"(large and NP-hard) crew assignment problems, or creating profitable quantitative strategies for SEB or Excalibur. I have found my ultimate playground in Credit Markets. They are complex, have high barriers to entry, segmented participants, and a growing regulatory structure, making them extremely INEFFICIENT. I use my skills to understand the underlying factors, explore and correct significant credit market inefficiencies. Specialties: Credit Markets, Hybrid Capital, AT1, Corporate Hybrids, CDS, Portfolio Management, Quantitative / Algorithmic Trading, Machine Learning and AI Strategies, Fixed Income Trading, Quantitative Analysis, Development of Quantitative Strategies, Optimization
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