Mario Krismer
Portfolio Manager
Mario Krismer has been working for Kathrein as portfolio management analyst since October 2008. He is a specialist for dynamic asset allocation strategies and value at risk measuring.
After his studies of international economics in Innsbruck and Montreal, Mario Krismer was for five years a risk controller in the field of group risk controlling / asset liability management with Österreichische Volksbanken AG.
In 2007, Mario Krismer completed his international education to be certified financial analyst, following which he has been awarded the title of CFA (chartered financial analyst).
