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Arne Lohmann Rasmussen
Chief Analyst, Head of Research at Global Risk Management
+45 2146 2951
Arra@global-riskmanagement.com

About Arne Lohmann Rasmussen

Arne Lohmann Rasmussen has served as Chief Analyst and Head of Research at Global Risk Management since 2023, where he covers a broad spectrum of energy markets, including crude oil, refined products, fuel and bunker oil, biofuels, natural gas and LNG, power, guarantees of origin (GOs), coal, and emissions.

He brings more than 23 years of experience from the research department at Danske Bank, a leading Nordic retail and investment bank. Over the course of his career, he has analysed a wide range of asset classes and macroeconomic themes, including FX, interest rates, fixed income, and commodities, advising institutional and corporate clients across Europe, Asia, and the United States.

Arne has deep expertise in ESG from a financial markets perspective and holds the CFA UK Certificate in ESG Investing.

He has held several senior management roles and holds a Master’s degree in Economics from the University of Southern Denmark. He is frequently quoted in both local and international media.

GRM in the media

Many international media channels and journalists have invited our Chief Analyst & Head of Research, Arne Lohmann Rasmussen, to share his expert insights on the oil, gas, and energy markets. Click a logo to see our specialist commentary:

Iran to close the Strait of Hormuz: It could be costly for Denmark.

Maduro overthrow in oil-rich Venezuela unlikely to shake energy markets in the near term.

Strait of Hormuz ship traffic slows to a crawl. Here’s what to know about the key oil waterway.

Strait of Hormuz: What happens if Iran shuts global oil corridor?

European Union’s US gas use set to soar, increasing price volatility.

Missile fears slow traffic in the Strait of Hormuz – energy prices rise.