Research Analyst at Management Board Chairman Office @ Intesa Sanpaolo
Fabio Lania's Education
Università Cattolica del Sacro Cuore
Master of Science (MS) (Banking and Finance)
2009 - 2011
SIdE Società Italian di Econometira-Italian Econometric Society
PhD course (Econometrics-Cross Section and Time Series)
2016 - 2016
Stanford University
Visiting Student (International Financial Markets, Financial Economics)
2010 - 2010
Università degli Studi di Napoli 'Federico II'
Bachelor of Science (BS) (Econometrics and Quantitative Economics)
2005 - 2009
Fabio Lania's Skills
R
Banking
Economics
Liquidity Risk
Basel II
Financial Modeling
Data Analysis
Derivatives
Financial Risk
Excel
Fabio Lania's Summary
Fabio Lania, based in Milan, Lombardy, Italy, is currently a Market Risk Manager at Intesa Sanpaolo, bringing experience from previous roles at Università Cattolica del Sacro Cuore and Intesa Sanpaolo. Fabio Lania holds a 2009 - 2011 Master of Science (MS) in Banking and Finance @ Università Cattolica del Sacro Cuore. With a robust skill set that includes R, Banking, Economics, Liquidity Risk, Basel II and more, Fabio Lania contributes valuable insights to the industry. Fabio Lania has 2 emails on RocketReach.