1685

Henrik Baranovski Mikkelsen

Professional
profile

+20 years of experience from Trading, Market Making, Asset and Portfolio Management plus Financial IT Systems and Exchange Consulting.
Worked with FX, Fixed Income, Equities, Funds and Energy primarily power, but also Carbon and Oil.
I have managed to turn around inprofitable businesses with clients and risk books on management and trading through Technical Analysis.
Give speaches around Europe for training and marketing purposes, which have support my business excellent.

Work History

Vattenfall A(S : Head of Portfolio Management
2004 to 2010
• Portfolio and Client Management
• Discretionary and non discretionary
Portfolio Management
• Trading, analysis and pricing and of
Power, oil and CO2 contracts
• Producer and writer of Weekly and
Special Market Letters
• Communicator and Link to other
internal groups in relation to the value
chain
• Product development
• Education and Seminars

Unilan : Sales Manager
2003 to 2004
Independent Sales to Ukraine

Nordea Private Bank : Senior Portfolio Manager
2000 to 2003
• Discretionary and non discretionary
Portfolio Management for clients
• FI and FX advisory of funds,
corporates, and HNWI's
• Client Management
• Top Down Asset and Liability
Management

Nordea Markets : IT and Business Development Manager
1999 to 2000
• Project management and maintenance
of new trading platforms
• Exchange connections – Instinet,
TradeWeb, EuroMTS, Norges Børs,
OMX
• Data and systems vendors contact –
Reuters and Bloomberg

Nordea Markets : Senior Market Maker, Bonds
1997 to 1999
• Primary Dealer on Norwegian Treasury
Bonds
• Ran the flow and trading book on
Nowegian Treasury bonds
• Repo Trading

Reuters : Fixed Income Product Specialist
1995 to 1997
• Product Support and education of the
Reuters FI3000 product
• Product Marketing, Support and
education on RTG

BG Markets : FX Spot and Forward Interbank Dealer
1992 to 1995
• Interbank Dealer on FX Spot – JPY,
AUD, CAD and Mediterraneans
• Interbank Dealer on Forwards and
FRA’s on NOK and SEK
• Information vendors and risk
management systems contact

BG Markets : Client Dealer
1988 to 1992
• 12 small FX funds – discretionary and
non discretionary mandates
• FI speculative clients

Education

CBS Copenhagen : Diploma in Business Administrat
2002 to 2003

7th & 8th semester at HD-O covering
Strategic Management and Corporate development

CBS Copenhagen : Graduate Diploma in Economics, Finance and
1993 to 1989

Master thesis:
”Behavioral Finance as Input to Trading and Risk Management”

Horsens Business School : Business Collage
1983 to 1986

Danske Bank : Banking Education
1986 to 1988

Languages

Mother tongue: Danish

Other languages: English, German, Norwegian

 

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Me

My Network

My Career

Placing Traders