Audrius Mozūras

Audrius heads an alternative investment fund management company Mundus Asset Management. Prior to that Audrius held positions of Chief Economist at the national central bank‘s Systemic Risk Modelling Division, Corporate Finance Specialist at a regional investment bank Evli Securities and Equities Analyst for a EUR 180m portfolio at a hedge fund GLG Partners.

Audrius has a Master‘s degree in Quantitative Economics and Finance from the University of St. Gallen, Switzerland and a Bachelor‘s degree in Economics and Business Administration from the Stockholm School of Economics in Riga, Latvia. In addition, Audrius specialised in Corporate Mergers & Acquisitions as part of the Zaeslin and Maag Programme for Law & Economics.

Syllabus:

  • Macroeconomic policy analysis

Additional Information:

El. p.: audrius@mundus.lt