Extensive experience as head of Listing and Surveillance at NASDAQ OMX-Stockholm Stock Exchange and in the course of time also for NAS-DAQ OMX’s all seven stock exchanges in Scandinavia and Baltic countries between.
Responsible for the Compliance function within the SEB Group, Head of licensing and supervision of investment companies, banks and investment funds at Swedish Financial Supervisory Authority. Head of the licence and legal division within the insurance department. Legal expert in the Ministry of Finance with responsibility for AP fund regulations, etc. and banking lawyer at the Swedish Bankers’ Association with extensive contacts with Swedish banks, regulators and various authorities. He is also a member of the Swedish Securities Council and chairman of the Diciplinary Board of Aktietorget.
Moreover, he is a board director of an investment company. LL.B., Uppsala University.