HEC Lausanne - The Faculty of Business and Economics of the University of Lausanne
Master of Science (M.Sc.) (Finance)
2015 - 2016
Leopold-Franzens Universität Innsbruck
Master of Science (M.Sc.) (Banking & Finance)
2014 - 2016
Leopold-Franzens Universität Innsbruck
Bachelor of Science (B.Sc.) (Management & Economics)
2011 - 2014
Stefan Verginer's Skills
Quantitative Investment Strategies
R
Matlab
Investment Banking
Asset Management
Structured Products
Visual Basic for Applications
Investmentbank
Equity Smart Beta
Computational Finance
Stefan Verginer's Summary
Stefan Verginer, based in Munich, BY, DE, is currently a Vice President - Volatility Portfolio Management at Assenagon Asset Management, bringing experience from previous roles at Assenagon Asset Management, BMW Group, HypoVereinsbank - UniCredit Bank AG and European Patent Office. Stefan Verginer holds a 2014 - 2017 Master of Science (M.Sc.) in Applied Economics @ Leopold-Franzens Universität Innsbruck. With a robust skill set that includes Quantitative Investment Strategies, R, Matlab, Investment Banking, Asset Management and more, Stefan Verginer contributes valuable insights to the industry. Stefan Verginer has 1 email on RocketReach.