Bachelor of Science (BSc) (Business Administration)
2014 - 2018
San Diego State University-California State University
(Semester Abroad)
2016 - 2016
Industrie- und Handelskammer
Instructor's license
2014 - 2014
Frankfurt School of Finance & Management
Bankfachwirt
2011 - 2014
Industrie- und Handelskammer
Banking Professional
2008 - 2011
Mario Zapf's Skills
Microsoft Office
Bloomberg
Corporate Finance
Valuation
Project Management
Microsoft Excel
Financial Modeling
Asset Pricing
Bloomberg Terminal
Financial Analysis
Mario Zapf's Summary
Mario Zapf, based in Frankfurt, HE, DE, is currently a Portfoliomanager - Quantitative Investment Strategies I Liquid Alternatives I Multi Asset at R+V Versicherung, bringing experience from previous roles at Barclays Investment Bank, Deutsche Börse and MainFirst Group. Mario Zapf holds a 2018 - 2019 Master of Finance - Corporate Finance @ Frankfurt School of Finance & Management. With a robust skill set that includes Microsoft Office, Bloomberg, Corporate Finance, Valuation, Project Management and more, Mario Zapf contributes valuable insights to the industry. Mario Zapf has 1 email on RocketReach.