Marek Ozana, Ph.D.
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Marek Ozana, Ph.D. Email & Phone Number

Portfolio Manager at SEB AM at SEB Asset Management
Location: Greater Stockholm Metropolitan Area, Sweden, Sweden 10 work roles 5 schools
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Current company
SEB Asset Management
Role
Portfolio Manager at SEB AM
Location
Greater Stockholm Metropolitan Area, Sweden, Sweden

Who is Marek Ozana, Ph.D.? Overview

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Quick answer

Marek Ozana, Ph.D. is listed as Portfolio Manager at SEB AM at SEB Asset Management, based in Greater Stockholm Metropolitan Area, Sweden, Sweden. AeroLeads shows a matched LinkedIn profile for Marek Ozana, Ph.D..

Marek Ozana, Ph.D. previously worked as Portfolio Manager at Seb Asset Management and Portfolio Manager at Excalibur Asset Management. Marek Ozana, Ph.D. holds Ph.D. from Umeå University.

Profile bio

About Marek Ozana, Ph.D.

I have always loved physics, ever since I broke my neighbors' window while observing the parabolic trajectory of a stone, won the Physics Olympics competition, and defended my Ph.D. thesis on the quasiclassical theory of superconductivity. Why? Because it involves simplifying extremely complex problems to their core and finding innovative solutions to them.Now, as a quantitative portfolio manager, I no longer do physics. However, I do identify, simplify, and solve complex problems for our clients, whether it be developing algorithms for Jeppesen Boeing that solve previously "impossible" (large and NP-hard) crew assignment problems, or creating profitable quantitative strategies for SEB or Excalibur.I have found my ultimate playground in Credit Markets. They are complex, have high barriers to entry, segmented participants, and a growing regulatory structure, making them extremely INEFFICIENT. I use my skills to understand the underlying factors, explore and correct significant credit market inefficiencies.Specialties: Credit Markets, Hybrid Capital, AT1, Corporate Hybrids, CDS, Portfolio Management, Quantitative / Algorithmic Trading, Machine Learning and AI Strategies, Fixed Income Trading, Quantitative Analysis, Development of Quantitative Strategies, Optimization

Listed skills include Quantitative Analysis, Portfolio Management, Fixed Income Trading, Systematic, and 36 others.

Current workplace

Marek Ozana, Ph.D.'s current company

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SEB Asset Management
Seb Asset Management
Portfolio Manager at SEB AM
10 roles · 30 years

Marek Ozana, Ph.D. work experience

A career timeline built from the work history available for this profile.

Portfolio Manager

Current
Seb Asset Management

Stockholm, Stockholm County, Sweden

Aug 2022 - Present

Board Member

Trude Asset Management Ab

Stockholm, Stockholm County, Sweden

May 2015 - Feb 2020

Partner & Portfolio Manager

Trude Asset Management Ab

Stockholm, Stockholm County, Sweden

May 2015 - Sep 2019
5 education records

Marek Ozana, Ph.D. education

Swedsec License

Swedsec

Cfa Chartholder

Cfa Institute

Education record

Matiční Gymnázium, Ostrava
FAQ

Frequently asked questions about Marek Ozana, Ph.D.

Quick answers generated from the profile data available on this page.

What company does Marek Ozana, Ph.D. work for?

Marek Ozana, Ph.D. works for SEB Asset Management.

What is Marek Ozana, Ph.D.'s role at SEB Asset Management?

Marek Ozana, Ph.D. is listed as Portfolio Manager at SEB AM at SEB Asset Management.

Where is Marek Ozana, Ph.D. based?

Marek Ozana, Ph.D. is based in Greater Stockholm Metropolitan Area, Sweden, Sweden while working with SEB Asset Management.

What companies has Marek Ozana, Ph.D. worked for?

Marek Ozana, Ph.D. has worked for Seb Asset Management, Excalibur Asset Management, Trude Asset Management Ab, Srm Consulting Ab, and Algorithmica Research Ab.

How can I contact Marek Ozana, Ph.D.?

You can use AeroLeads to view verified contact signals for Marek Ozana, Ph.D. at SEB Asset Management, including work email, phone, and LinkedIn data when available.

What schools did Marek Ozana, Ph.D. attend?

Marek Ozana, Ph.D. holds Ph.D. from Umeå University.

What skills is Marek Ozana, Ph.D. known for?

Marek Ozana, Ph.D. is listed with skills including Quantitative Analysis, Portfolio Management, Fixed Income Trading, Systematic, Trading Systems, Fixed Income, Quantitative Analytics, and Quantitative Finance.

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