Martin Stoyanov
Quantitative Analyst, Vice President
Martin joined Capital Four in December 2020 from Nordea Asset Management, where he held a Graduate position with responsibilities for market risk management of Nordea’s portfolios.
Previously he worked as an investment controller at Nordea and held research and teaching positions at Copenhagen Business School, the University of Copenhagen, Nordea Markets and the Centre for European Economic Research (ZEW).
Martin holds a MSc in Economics and Finance from the University of Copenhagen and a BSc in Economics from the University of Mannheim.