Dennis Antemann

Dennis Antemann

Manager, Financial Services, Advisory

Executive summary

Practice areas

  • Treasury
  • Overall Bank Management
  • Risk Management: Counterparty default risk, interest rate risk, liquidity risk, refinancing risk and fx risk
  • Strategiv and tactical asset allocation
  • Trading: equities, bonds, funds, derivatives and fixed-interest bank products
  • Regulatory (Basel III/IV, MaRisk, MiFID, DORA)
  • Securitisations
  • Internal Audits

Industry expertise

  • Banking
  • Insurance Companies
  • Asset Managers

Publications

  • Credit Default Swaps, Additional source of income, August 2021 - BankInformation
  • Eigenanlage, A smart mix brings stable returns, Februar 2022 – BankInformation