Bachelor's degree (Banking, Insurance and Financial Markets)
2008 - 2011
Uniwersytet Ekonomiczny w Katowicach
Exchange Programme (Finance)
2013 - 2013
Mario Giannini's Skills
Derivatives
Trading Strategies
Risk Management
R
Matlab
VBA
Financial Modeling
Exotic Derivatives
Market Risk
Financial Markets
Mario Giannini's Summary
Mario Giannini, based in London, GB, is currently a Senior Commodity Risk Developer at bp, bringing experience from previous roles at Morgan Stanley and CrossBorder Capital. Mario Giannini holds a 2014 - 2015 Master of Science in Financial Risk Management @ UCL. With a robust skill set that includes Derivatives, Trading Strategies, Risk Management, R, Matlab and more, Mario Giannini contributes valuable insights to the industry. Mario Giannini has 4 emails on RocketReach.