Harri Kojonen, CFA, has over two decades of experience in the financial sector, currently serving as a Cross Asset Strategist and Portfolio Manager at OP Financial Group since August 2005, where responsibilities include planning and implementing cross asset strategies and managing derivatives overlays. Previously, Harri held the position of Senior Portfolio Manager, focusing on Absolute Return Strategies and diverse portfolios, as well as managing a range of credit mutual bond funds. Prior to OP Financial Group, Harri was Chief Dealer for Credit Trading at Handelsbanken, overseeing trading of credit products, and a Credit Trader at Nordea Markets, where responsibilities included managing the credit portfolio and developing a credit newsletter. Harri holds a Business College Graduate degree in Financial Administration from Helsinki Business College.
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