Monza, Lombardy, Italy
I hold a BSc and an MSc in Mathematical Engineering from Politecnico di Milano, with a specialization in Quantitative Finance. My academic and professional experience has provided me with a solid quantitative background and strong analytical skills, with a particular interest in financial markets and asset management. I am naturally curious, enjoy working in team environments, and am always looking for opportunities to learn, improve and take on new challenges.
Portfolio management activities for systematic global fixed income strategies across corporate and sovereign bonds and related derivatives. Development and maintenance of quantitative tools, data infrastructure and research frameworks to support systematic investment processes.
Multi-asset trading across equities, fixed income, FX and listed derivatives for institutional portfolios. Trading and portfolio management activities for a target maturity fixed income fund. Development of quantitative analytics and monitoring tools.
Development and enhancement of Machine Learning and Deep Learning models for equity market prediction and stock selection. Research and implementation of AI-driven portfolio management and systematic trading strategies