Aasmund Midttun Godal has a diverse work experience, starting with their role as CTO at Rubrikk Group AS from 2006 to 2009. Aasmund Midttun then had a summer intern position as a Fixed Income Trader at SEB in 2011. In 2013, they completed an internship in Emerging Markets Fixed Income at UBS, followed by a position as Rates Structuring at HSBC from November 2013 to May 2014. From 2014 to 2016, Aasmund was a Quant Portfolio Manager at Schneider Investment Associates LLP. Their most recent experience is at Norges Bank Investment Management, where they started in August 2016 as an Equity Portfolio Strategies member and later transitioned to Equity Portfolio Management in December 2017.
Aasmund Midttun Godal has a strong educational background in business and mathematics. Aasmund Midttun completed their Master of Business Administration (MBA) from The Hong Kong University of Science and Technology in 2013, with a focus on Derivatives & Chinese Capital Markets. Additionally, they pursued a specialization in Negotiations & Asset Management at the London Business School in 2012. Prior to their MBA studies, Aasmund earned a Bachelor of Science (B.Sc.) in Mathematics from the University of Oslo (UiO) in 2010. Aasmund Midttun also had the opportunity to participate in an exchange program at Rice University in 2009, where they studied Entrepreneurship/Entrepreneurial Studies. Although there is mention of an additional certification from Eurex, no specific details are provided regarding the institution, month or year of obtaining it.
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