London, Greater London, United Kingdom
Financial Derivatives Trading & Pricing
Investment Banking
Education
MIP-Politecnico Di Milano 2013 — 2014
Department of Mathematics - Postgraduate Master, Quantitative Finance, 30/30
Università Commerciale 'Luigi Bocconi' 2010 — 2012
Master of Science (M.Sc.), Economics & Financial Markets, IT: 96/110 - US: B+ - UK: 2.2
Università Cattolica del Sacro Cuore 2006 — 2009
Bachelor's degree, Economics & Financial Markets, IT: 94/110 - US: B+ - UK: 2.2
Liceo Scientifico 2001 — 2006
Diploma, Math and Physics, 82/100
Experience
Private Trader June 2011 - Present
AXA April 2013 - October 2013
Monster April 2012 - October 2012
C.D. Gest S.r.l. August 2008 - October 2008
Skills
Financial Forecasting, Alternative Investments, Financial Modeling, Gretl, Trading Systems, Revenue Forecasting, Teamwork, Financial Markets, Microsoft Office, Hyperion Financial..., Currency, Stocks, Financial Analysis, Palisade @Risk, Securities, Private Equity, Hedging, Investments, Market Analysis, Hedge Funds, Problem Solving, Equities, Commodities, Asset Management, Options, Team Leadership, Commodity, Datastream, C++, Analysis, Data Analysis, FX trading, Matlab, Asset, Asset Allocation, Forecasting, Bonds, Trading, R, Fixed Income, Oracle Applications, Finance, Oracle Enterprise..., Trading Strategies, Portfolio Management, Financial Reporting, Derivatives, Technical Analysis, Essbase, Bloomberg Terminal