Swedbank Investeerimisfondid AS
Chairman of the Management Board
Employed at Swedbank Investeerimisfondid AS since 2014.
Earlier employment: various positions within the Swedbank Group, in Bank of Estonia and in the Estonian Ministry of Finance. Has worked with Swedbank pension funds in the past, in Hansa Investment Funds from 2005 to 2009 and in Swedbank Robur in Sweden from 2009 to 2010. Has a degree in economics from the Tallinn University of Technology as well as a MSC in Economics from University of Exeter in England. Work experience in the financial sector since 1998.
Member of the Management Board, Chief Compliance Officer
Employed at Swedbank Investeerimisfondid AS since 2010.
Previous employment: Investment Services Compliance Controller at Swedbank AS and lawyer at Law Office Tark & Co. Master's level degree in International Business Law from the University of Central Europe. Work experience in the financial sector since 2007.