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Kris­ti­an Sparre An­der­sen

Part-time Lecturer

Subjects
Finance

Present­a­tion and Aca­dem­ic Fields

Kristian Sparre Andersen holds a MSc in Economics (cand.polit.) from University of Copenhagen.

Fields of interest:

• Pension Economics, Consumer Finance, Life Cycle modelling, and Asset-Liability Management.

• Strategic Asset Allocation, Portfolio Construction, and Investment analysis.

• Financial derivatives, Risk Management, and Value-At-Risk models.

Professional and/or academic experience

Employed in the Danish financial industry for more than 30 years and held positions in:

• BankPension (today part of PFA) - Chief Financial Officer.

• Central Bank of Denmark (Nationalbanken) - Financial risk analysis/Debt management & Payment systems, Liquidity Risk.

• Danish FSA (Finanstilsynet) - Bank supervision (Credit Risk, Market Risk).

Published in Finans/Invest, Nationalbankens Quarterly Review and Finnish Central Bank’s series on Payment Systems.

Pedagogical experience/method skills/supervision

Supervisor on:

• Master Theses and Business Projects for the MSc in Economics and Business Administration program (cand. merc. FIR).

• Bachelor Projects and Finance Projects for the BSc in Economics and Business Administration program (HA Almen).

Outside activities

Product/Customer strategy (current) & Risk Management/Solvency II at Sampension