Vedran Skopljak
Senior Manager – Derivatives,
MLC Asset Management
Vedran Skopljak is member of MLC Asset Management’s derivatives specialist team with over 10 years of experience designing and managing derivative strategies across diverse asset classes.
He currently overseas the firm’s derivatives-based portfolio overlay initiatives, including risk hedging, efficient exposure, duration and currency overlay strategies, along with the variable annuity liability hedging program.
Vedran’s expertise lies in bridging the gap between portfolio macro strategy and practical implementation, leveraging deep knowledge of quantitative models and real-world execution to deliver robust investment solutions.