Marc Hassler

Associate Portfolio Manager, Energy Transition, Caxton Associates

Marc Hassler, CFA, is an Associate Portfolio Manager at Caxton Associates, with a particular focus on the energy transition across global equities and commodities including carbon markets. Previous to Caxton, Marc held a role as Sustainable Investment Analyst at Schroders with specific focus on (i) quantifying climate-related risks and (ii) identifying global business models with a positive, enabling exposure to the transition to a low-carbon economy. Prior to that, Marc was an Associate at the ESG-Quant asset manager Arabesque Management.

Marc holds a M.Sc. degree in Sustainable Finance (cum laude) from Maastricht School of Business and Economics and a B.Sc. in Business, Language, and Culture from Copenhagen Business School.