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Jacob Carlsen, PFA Pension, Head of Risk Management

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Lars Gammelgaard, Nordea Markets, Chief Quantitative Analyst

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Lars Waalen Sandberg, BRFkredit, Afdelingsdirektør, BRFkredit

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Martin Hagelskjær Nielsen, Nordea, Head of Danish Fixed Income, Nordea Investment Management

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Peer Roer Pedersen, Jyske Bank, Peer Roer Pedersen, Områdedirektør

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Per Plougmand Bærtelsen, Finanstilsynet, Kontorchef

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Peter Herman, Royal Bank of Scotland, Director Institutional Solutions

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Ricco Hagenflindt, JØP, Investeringschef

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Rune Brinch Kristensen, Nykredit, Chefanalytiker, Nykredit Markets

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Torben Mark Pedersen, Danske Bank, Chefanalytiker, PhD

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Carsten Mygind Feldt, Partner at Financial Training Partner, which he co-founded in 2002. Carsten has 10 years of experience from market making and sales of fixed income derivatives at Unibank, BG Bank and Morgan Stanley in London. Carsten holds an M.Sc. (Economics and Business Administration) and a BA (Finance) from Copenhagen Business School.

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Jørgen Just Andresen, Partner at Financial Training Partner. Prior to co-founding Financial Training Partner he was a chief financial consultant at SimCorp’s course department where he started in 1996. Before 1996 he worked at Danske Bank with fixed income research and fixed income sales. He holds an M.Sc. (international finance) and an HD (accounting).

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Ulrik Strandgaard, Partner and managing director at Financial Training Partner, which he co-founded in 2002. He was head of the course dept. at SimCorp A/S which he joined in 1995. From 1991-1995 he worked for Bikuben Børs as the head of fixed income research. M.Sc. (Economics) from University of Copenhagen and a BA (Business) from Univiversity of Melbourne.

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Aimee Staude, CEBS, Committee of European Banking Supervisors

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Alan James, Barclays Capital, Head of Inflation-linked Bond Strategy

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Anna Iversen, Solicitor, Plesner

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Brian Fuglsbjerg, Danske Bank, First Vice President, Market Risk, Danske Bank

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Casper Andersen, Standard & Poor´s, European Covered Bond Ratings Structured Finance

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Catherine Kendal Tholstrup, Advokat, Plesner, Svane og Grønborg Advokatfirma

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Håkan Wihlborg, H. Wihlborg Consulting, Finance consultant, H. Wihlborg Consulting. Håkan is an expert on rules regarding the financial sector in the area of accounting and capital adequacy rules. He joined KPMG in 1990 from Bankinspektionen where he had worked for many years. In 2007 Håkan started his own consulting company, H. Wihlborg Consulting.

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Jakob Lund, FSA (UK), Technical Specialist, Banking Sector Team

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Jens Lund, Nordea Markets, Head of Model Development

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Jens Peter Sørensen, Danske Markets, Chefanalytiker, Danske Bank. Ph.D. Chef for Fixed income and Derivatives Strategy, der beskæftiger sig med analyse af de skandinaviske og europæiske obligations- og derivatmarkeder. Rådgiver en lang række investorer såsom institutionelle investorer, asset managers og hedge fonde i indland og udland.

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Jes Peter Gerstrøm, Danske Bank, Underdirektør, Head of Corporate Liquidity Risk Management

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Jesper Lund, Chefanalytiker, Nykredit Markets

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Jesper Olsen, State Authorised Public Accountant, KPMG. Since 1991 Jesper has been accountant and advisor. During a visiting period with KPMG in Washington D.C. 1996 Jesper entered the field of structured financial products and in 1998 Jesper spent a year with KPMG London’s IAS-desk.

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Kim Mikkelsen, Nordic Asset Management, CIO, Nordic Asset Management

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Klaus Just Jeppesen, Klaus Just Jeppesen is Head of Performance Measurement in the BankInvest Group. Klaus holds a M.Sc.(business economics and mathematics) and has worked in the Asset Management Industry for the last 9 years with performance and risk measurement as well as client reporting and portfolio management systems.

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Lars Stage, Danish Financial Supervisory Authority. Since 1992 Lars has been responsible for the credit and market risk department. Took part in CAD directive negociations in Bruxelles and was chairman in the sub committee discussing changes to capital adequacy rules. Lars hold an MSc. in Economics.

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Lene Bisgaard Marner, Head of Fixed Income Analysis,HSH Nordbanken. Lene has 10 years experience in the field of fixed income analysis from Realkredit Danmark, Codan and BG Bank. She has extensive knowledge with the Danish mortgage sector and MBS modelling. Lene holds an MSc. in Mathematics.

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Mads Gosvig, ATP, Portefølje Manager

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Mattias Persson, Sveriges Riksbank, Director, Head of Financial Stability Department

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Michael Preisel, ATP, Head of Quantitative Research, The Danish Labour Market Supplementary Pension (ATP). Michael works with asset-liability management, strategic investment policies and their practical implementation. Experience with mortgage bonds, CMO's and general fixed income research from Nordea and Nykredit Bank. Holds a Ph.D. in theoretical physics.

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Mogens Kristensen, Sydbank, Direktør, Sydbank

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Morten Ramsbæk, Sampension, Senior portefølje manager, Sampension

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Nicki S. Rasmussen, Analyst, Danske Bank A/S. Nicki works in the Quantitative Research team of Danske Markets. Previous experience includes fixed income modelling and analytics implementation at ScanRate Financial Systems A/S, as well as teaching Financial Risk Management at Aarhus School of Business. Nicki holds a Ph.D. in Finance from the Aarhus School of Business.

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Niels Peter Vadstrup, Nordea, Senior Director, Group Market Risk Management, Nordea

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Ole Fich, ATP, Chief Risk Officer, Fondsområdet, ATP

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Per Søgaard-Andersen, Danske Capital, Chefanalytiker, Danske Capital. Per has extensive practical experience with financial analysis and financial software development. Prior to working for Danske Capital, Per has spent many years in the financial sector with Sampension, ABN Amro, Nordea and SimCorp. Per holds a Ph.D. from the Danish Technical University.

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Peter Rose Bjare, Tax-advisor, KPMG

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Ria Falk,

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Rune Kristensen, Nykredit Markets, Senior Analyst, Nykredit Markets

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Søren Fiig Jarner, Quantitative Analyst, The Danish Labour Market Supplementary Pension (ATP). Søren works primarily with asset-liability management, model development and investment strategies. External lecturer at University of Copenhagen within Statistics. Holds an MSc in Mathematical Statistics and a Ph.D. in Probability Theory from Lancaster University.

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Stefan Lohren, KPMG, Stockholm

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Stig Tørnes, Danske Markets, Stig Tørnes, Chief Analyst, Danske Markets

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Theo Kocken, CEO, Cardano Risk Management

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Torben Bender, State Authorised Public Accountant and Partner in KPMG. Torben has been with KPMG since 1991 and is a member of KPMG’s finance group. Torben acts as accountant and advisor for numerous financial entities. Special knowledge on financial instruments and financial risk management.

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