Dr. Wolfgang Mader
Dr Wolfgang Mader is Head of Investment and Risk Strategy at risklab. He is responsible for strategic and dynamic asset allocation/ALM, lifetime savings and retirement investments, fiduciary investments, absolute return strategies and risk management. Before joining risklab, Dr Mader was a consultant for insurance and investment advisory companies. He also worked as a researcher and lecturer in Banking and Finance. He earned a PhD with his thesis on “Hedge Funds – Alternative Investment Strategies and Portfolio Models”. He is the author of articles on alternative assets, investment strategies and risk management, and supervisor of the German versions of the textbooks “Options, Futures and other Derivatives” and “Risk Management and Financial Institutions” by Prof. John C. Hull.