Primary navigation:

QFINANCE Quick Links
QFINANCE Topics
QFINANCE Reference
Add the QFINANCE search widget to your website

Home > Contributor Biographies > Mario Schlener

Contributor Biographies

Mario Schlener

Navigant Capital Markets Advisers—Europe
Mario SchlenerMario Schlener

Mario Schlener leads business strategy and product development at Navigant Capital Markets Advisers—Europe. Prior to that, for four years he headed the quantitative and analytics group at Deloitte Vienna, and before Deloitte he gained 10 years’ banking experience at a major Austrian banking group in the corporate finance, fixed-income, and structured products sales department in Vienna and New York. He has extensive experience in advising banks, asset managers, and pension funds. Schlener holds BA and MA degrees in banking and finance from the University of Applied Sciences BFI Vienna and an MBA in economics from the University of Chicago’s Booth School of Business. Currently a PhD in finance candidate at the EDHEC Risk Institute, he is also an external lecturer at Vienna University of Technology.


Articles by this Author

  • Stress-Testing in Asset and Liability Management: A Coherent Approach
    by Alex Canavezes, Mario Schlener
    In light of recent extreme events, such as the collapse of Lehman Brothers in 2008, both the financial services industry and its regulators have keenly felt the need to complement traditional percentile-based risk management tools (such as value-at-risk (VaR) or economic capital) with stress tests and scenario analyses.Following the logic of Dermine (2003), asset and liability management (ALM) can be interpreted as the main management tool for...

Back to top

Share this page

  • Facebook
  • Twitter
  • LinkedIn
  • Bookmark and Share