Hi! I'm Eric, I head the Market Risk & Valuation Risk Management functions for the Nordea Group. Prior to this role, I was working at UBS / Credit Suisse in Zurich and before that I worked for the European Systemic Risk Board (ESRB) and Norges Bank.
My research focuses on (reverse) stress testing, systematic vulnerability identification and systemic risk. I enjoy finding innovative solutions to practical risk management questions faced by financial institutions and policy makers.
All information on this webpage as well as the referred research reflect my personal views only. They should not be construed to reflect the official stance or the views of Nordea or any of my previous employers.