Doctor of Philosophy - PhD (Economics and Finance)
2018 - 2022
University of Rome Tor Vergata
Master of Science (M.Sc.) (Pure and Applied Mathematics)
2013 - 2016
University of Rome Tor Vergata
Bachelor of Science (B.Sc.) (Mathematics)
2010 - 2013
Liceo Scientifico I. Newton
Diploma di Maturità (100/100)
2005 - 2010
Federico Giorgi's Skills
Matlab
C
Mathematics
Statistics
Probability Calculus
LaTeX
R
Stochastic Calculus
Stochastic Simulation
Financial Modeling
Federico Giorgi's Summary
Federico Giorgi, based in Rome, Latium, Italy, is currently a Credit Risk Representative of Solvency II Internal Model at Gruppo Assicurativo Poste Vita, bringing experience from previous roles at Oliver Wyman and Advanced Risk and Portfolio Management. Federico Giorgi holds a 2018 - 2022 Doctor of Philosophy - PhD in Economics and Finance @ University of Rome Tor Vergata. With a robust skill set that includes Matlab, C, Mathematics, Statistics, Probability Calculus and more, Federico Giorgi contributes valuable insights to the industry. Federico Giorgi has 1 email on RocketReach.