Master's degree (Markets and Quantitative Finance)
2010 - 2012
New York University
Advanced Risk and Portfolio Management (ARPM)
2012 - 2012
LUISS Guido Carli University
Bachelor's degree (Markets and financial intermediaries)
2007 - 2010
Liceo scientifico F.Severi
Diploma Superiore (PNI - Mathematics, Programming and Physics)
2002 - 2007
Giovanni Di Martino's Skills
Mercati finanziari
Quantitative Finance
Microsoft Excel
Portfolio Management
Derivati
Derivatives
Bloomberg
Gestione degli asset
Stochastic Processes
Gestione del rischio
Giovanni Di Martino's Summary
Giovanni Di Martino, based in Milan, Lombardy, Italy, is currently a Portfolio Manager for High Net Worth Individuals Investment Team at Eurizon, bringing experience from previous roles at London Stock Exchange, Eurizon, London Stock Exchange Group Academy and BNP Paribas. Giovanni Di Martino holds a 2010 - 2012 Master's degree in Markets and Quantitative Finance @ LUISS Guido Carli University. With a robust skill set that includes Mercati finanziari, Quantitative Finance, Microsoft Excel, Portfolio Management, Derivati and more, Giovanni Di Martino contributes valuable insights to the industry. Giovanni Di Martino has 2 emails on RocketReach.