Jonas is a Managing Economist at Copenhagen Economics, where he heads our Macro & Finance service. With extensive experience in financial economics, regulatory impact assessments, and macro-finance, Jonas helps clients understand what drives changes within the financial sector and advises them on how to respond effectively.
Jonas excels at disentangling complex financial and regulatory issues, identifying key drivers, and communicating results clearly and intuitively.
Examples of his work include advising the European Commission on how to improve EU equity markets, supporting the European financial sector in assessing the impact of capital requirement regulation, and analysing how new regulatory initiatives affect security markets.
Previously, he has worked in both the asset management industry and the Danish Ministry of Finance, providing him with a unique perspective on how policy, regulation, and markets interact in practice.