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Jør­gen Just An­dresen

Part-time Lecturer

Subjects
Finance

Present­a­tion and Aca­dem­ic Fields

Jørgen Just Andresen has a Masters degree in international business (Cand.merc.int), 1993, The Aarhus School and Diploma Economics Financial and Management Accounting (HD 2. del regnskabsvæsen og økonomistyring, 2002, CBS). 

His field of interest includes Risk Management, Derivatives, Portfolio Management, Fixed Income and Alternative Investments.

Professional and/or academic experience

His former main occupations include Member of Risk and Compliance Committee at CFA Society Denmark, Chief Consultant at SimCorp, Analyst and dealer at Danske Markets, Director at Zhinfra (alternative investments) and Head of Asset Allocation and Risk Management at Østergaard & co. 

He is the author of Finansiel Risikostyring, 4th edition, 2024 by Djøf Forlag and the author of Finansielle Derivater, 2nd Edition, 2024 by Djøf Forlag.

Pedagogical experience/method skills/supervision

External lecturer on Risk Management at CBS.

Teacher at Financial Training Partner A/S with topics within Risk Management, Fixed Income, Portfolio Management, Performance Measurements and Alternative Investments.

Examination and Grading at CBS Graduate Diploma in Business Administration (finance)

Supervision and grading of final projects (Graduate Diploma in Business Administration (finance))

Outside activities

Managing Director at Financial Training Partner