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    Peter Lindner

    Senior Financial Sector Expert at the IMF | Capital Markets | Sustainable Finance | EM Debt | Fixed Income Portfolio Management

    Peter Lindner is an Asset Management Executive with extensive experience in Fixed Income Risk and Portfolio Management, Asset Allocation, and Quantitative Portfolio Strategies. He holds a Ph.D. and studied Diplom at the University of Pennsylvania and University of Kiel respectively. Lindner has a proven track record of effective management of investment, research, and risk personnel. He has a strong background in valuation, pricing, econometrics, and risk-return modeling. His expertise consists of risk management for real money and hedge fund portfolios, empirical financial modeling, and Credit and Structured Finance investing. He is well-versed in marketing investments to institutional investors, plan sponsors, and consultants. Lindner is currently focused on Capital Markets and Financial Stability with a keen interest on Liquidity risk in financial markets, and the consequences of Basel III and Dodd-Frank on trading-book economics. He has worked in several top financial firms including International Monetary Fund, Babson Capital Management, State Street Global Advisors, among others.

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