Mikkel Zobbe is a seasoned professional with extensive experience in portfolio management and risk analysis. Senior Portfolio Manager at BankInvest since November 2009, Mikkel has specialized in global equities and quantitative equity strategy. Prior roles at BankInvest include Portfolio Manager and Portfolio Risk Manager, focusing on quantitative equity strategy and portfolio risk respectively. Before joining BankInvest, Mikkel served as a Student Assistant at Nykredit from November 2007 to October 2009. Mikkel holds a Master of Science in Business Administration and Management Science and a Bachelor of Science in Business Administration and Management Science, both from Copenhagen Business School, as well as a high school diploma from Rødovre Gymnasium.