
Room: R310 (School of Business premises, V盲re building, 3rd floor)
Office hour: By appointment
Email: antti.suhonen@aalto.fi
Experience
Aalto University School of Business
Professor of Practice in Finance 1/2014 鈥
Garantia Insurance Company Limited
Member of the Board of Directors 3/2015 鈥
MJ Hudson
Senior Adviser 6/2014-
Barclays Capital, London
Managing Director, Equity and Funds Structured Markets 11/2009 鈥 2/2013
Managing Director, Fund-Linked Derivatives 1/2004 鈥 11/2009
Director, European Solution Sales 4/1998 鈥 12/2003
Bankers Trust International, London
Senior Associate, Derivatives Sales 9/1997 鈥 4/1998
Union Bank of Finland (now Nordea Bank), Helsinki and London
Senior Dealer, Derivatives 7/1993 鈥 6/1997
Research Interests
Alternative investments, credit markets, financial institutions and intermediation
Selected Journal Articles
. Financial Analysts Journal, 2023.
"". Journal of Systematic Investing 1(1), 73-110, 2021. With Matthias Lennkh.
"". Journal of Portfolio Management 43(2), 90-104, 2017. With Matthias Lennkh and Fabrice Perez.
Working Papers and Other Publications
"" with Kari Vatanen. Working paper (2019)
鈥淎 Framework for Risk Premia Investing鈥 with Kari Vatanen. Working paper (2017)
鈥淭he MJ Hudson Allenbridge Systematic Factor Market Review鈥 with Brendan Campbell. MJ Hudson Allenbridge (2017)
鈥淭he Current Landscape: Markets and Players, Competitors and Complementarities鈥 in Esa Jokivuolle (ed.) SUERF Conference Proceedings 鈥 Shadow Banking: Financial Intermediation beyond Banks (2017)
鈥淧remia in Alternative Credit 鈥 Drivers, Permanency and Risks鈥 JP Morgan Asset Management (2015)
鈥淏eyond Fundamental Indexing,鈥 with Benedicte Rabier. Allenbridge Investment Solutions, LLP. Quantitative Investment Strategy Survey (2014)
Teaching
Fixed income, lectures