Markus Schuller has 15+ years experience in trading, structuring and managing standard and alternative investment products. Prior to Panthera Solutions, Markus worked in executive roles for a Long/Short Equity Hedge Fund for which he developed the trading algorithm. He was one of the first in Europe to fit hedge fund strategies into UCITS III – compliant structures.
Markus started his career by working for renowned banks as Equity/Derivatives Trader and Macro Analyst. Markus founded Panthera Solutions in 2009 in the Principality of Monaco, using his extensive sell-side know how for now advising professional investors. He is a regular speaker at international investment conferences on Asset Allocation and Risk Management topics.
Markus acts as a regular commentary contributor to German/Austrian/Swiss quality media as financial markets expert. His co-authored book "Portfoliomanagement in Unternehmen" (Springer Verlag, 2014) received strong review scores beyond the investment community. His OECD Insights articles are regularly cited in international publications.
Since 2009 Markus teaches the courses „Portfolio Theory & Alternative Assets“ and „Investment Banking“ at the International University of Monaco, the latter also at the Danube University in Austria.
Behavioral Alpha Introduction
Why is a learning organization relevant for investors? How to scale your business with smart documentation?Részletek
Investment Strategy Automation
Deep learning your portfolio. How to integrate quantitative and qualitative kpis and kris in your investment monitoring? You will build your own dashboard of indicators to assess different types of risks.Részletek