Rome Area, Italy
Fixed Income Trader at Banca d'Italia
Investment Management
Education
The London School of Economics and Political Science (LSE) 2014 — 2014
Executive Summer School, Financial Risk Management, A+
London Business School 2014 — 2014
Executive Summer School, Strategic Investment Management
Nova School of Business and Economics 2010 — 2012
Msc, Management, Finance, 17/20
LUISS Business School 2010 — 2012
Msc, General Management, Finance, 110/110 cum laude
LUISS Business School 2007 — 2010
BA, Business Administration, 110/110 cum laude
Göteborgs universitet / University of Gothenburg 2009 — 2010
Erasmus Program, Management
Experience
Banca d'Italia July 2015 - Present
Banca d'Italia November 2013 - July 2015
Management Solutions August 2012 - October 2013
Skills
Finanza, Electronic Trading, Futures, Financial Analysis, Risk Analysis, Financial Modeling, Valuation, Banking, Credit Risk, Teamwork, Bloomberg, Corporate Finance, Financial Risk, Data Analysis, ION Marketview, Finance, Gestione del rischio, Portfolio Management, Investments, Analisi di bilancio, Derivatives, MMI, Financial Statement..., Fixed Income, Financial Markets, Economics, Business Analysis, IT Project..., Front Office Trading..., Risk Management, Business Strategy, Quantitative Finance, Market Analysis, Committment, Economia, Mercati finanziari