Andreas Vester is a portfolio manager based in Düsseldorf with nearly 20 years at HSBC Asset Management specializing in multi-asset and fixed income strategies, particularly absolute return and government bond funds for institutional clients. He combines deep investment expertise with advanced Python skills, having built backtesting environments, algorithmic trading strategies, and portfolio analysis tools that bridge quantitative research and portfolio implementation. Andreas regularly presents performance results and market insights to clients, and his background in both economics (Diplom-Ökonom) and an MBA informs a disciplined, data-driven approach to risk and return. Notably, he brings a practitioner’s coding fluency—turning analytical ideas into production-ready tools—which enhances transparency and execution in portfolio management.
Contributions:3 releases, 20 PRs, 16 pushes in 8 months
Find and Hire Top DevelopersWe’ve analyzed the programming source code of over 60 million software developers on GitHub and scored them by 50,000 skills. Sign-up on Prog,AI to search for software developers.