Master of Science (Finance; Portfolio Theory, Econometrics)
2007 - 2009
SDA Bocconi
Executive Course (Risk Control and Capital Management in Insurance)
2015 - 2015
Università degli Studi di Perugia
Bachelor Degree (Finance)
2002 - 2007
Istituto Commerciale Vittorio Emanuele II
High School Diploma (Administrative Commercial Technical College)
1997 - 2002
Giorgio Solfaroli's Skills
Matlab
SPSS
BarraOne
Bloomberg Professional
Stata
Sofia
Microsoft Office
Macintosh
Asset Management
Risk Management
Giorgio Solfaroli's Summary
Giorgio Solfaroli, based in Milan, IT, is currently a Portfolio Manager at Cnp UniCredit Vita S.p.A., bringing experience from previous roles at #NightReview, NR edizioni, UNIQA and Vegagest SGR. Giorgio Solfaroli holds a 2007 - 2009 Master of Science in Finance; Portfolio Theory, Econometrics @ Universita' Cattolica del Sacro Cuore Milan. With a robust skill set that includes Matlab, SPSS, BarraOne, Bloomberg Professional, Stata and more, Giorgio Solfaroli contributes valuable insights to the industry. Giorgio Solfaroli has 2 emails and 1 mobile phone number on RocketReach.