
Quantitative Finance, Laurea Magistrale
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Master's graduate in Quantitative Finance from Sapienza University of Rome, with a strong background in mathematical modelling, asset pricing and financial risk management. Developed analytical skills through the study of time series, econometrics and stochastic processes, with applications to financial data analysis and portfolio evaluation. Interested in junior roles in risk management and financial modelling.
Master's Degree in Actuarial and Financial Sciences – Sapienza University of Rome (2023-09 – 2025-06)
Bachelor's Degree in Economics and Statistics for Organizations – University of Turin (2020-09 – 2023-06)
Diploma in Administration, Finance and Marketing – Technical Commercial Institute (2015-09 – 2020-06)
exchange year in panama 2018-2019