Schuckmann Stefan

Stefan Schuckmann
Head of Risk Management
HanseMerkur Trust

Stefan Schuckmann brings over 17 years of capital markets expertise to his role as a risk manager. After completing his training as a bank clerk, he earned a master degree in economics from the University of Münster, specializing in banking, insurance, and risk management. His career path has spanned private banking, academic research, and consulting, before joining the risk management team at HanseMerkur Trust AG in 2011 within institutional asset management.

Since 2016, Stefan has been responsible for risk management, investment controlling, and compliance across all funds managed by HanseMerkur Trust AG. He also plays a key role in continuously developing and implementing the company’s ESG investment strategy for all liquid assets.