Marco Naldi work email
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Marco Naldi personal email
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Marco Naldi is a Private Investor at Self-employed. He possess expertise in fixed income, capital markets, market risk, credit risk, derivatives and 18 more skills. He is proficient in German and French.
Self-Employed
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Private InvestorSelf-Employed Jun 2022 - PresentNew York City Metropolitan Area
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Managing DirectorBarclays Sep 2008 - May 2022Greater New York City AreaHead of Group Quantitative AnalyticsGroup Risk Executive CommitteeQuantitative Analytics (QA) is a global organisation of highly specialized quantitative modellers and developers. QA is responsible for developing, testing, implementing and supporting quantitative models for the valuation and risk management of traded securities and derivatives, regulatory and economic capital, impairments, scenario generation, credit risk decisions, fraud detection, surveillance, asset-liability management, operational risk, net revenue and balance sheet forecasting, climate risk and stress testing across Barclays Group. -
Advisory BoardCarnegie Mellon'S Master Of Science In Computational Finance 2012 - 2018
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Associate EditorThe Journal Of Credit Risk 2008 - 2016
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Managing DirectorLehman Brothers Aug 1998 - Sep 2008Greater New York City AreaHead of Quantitative Credit Research -
Adjunct ProfessorColumbia Business School Sep 1997 - Jul 1998Greater New York City AreaManagerial EconomicsOptions Theory
Marco Naldi Skills
Marco Naldi Education Details
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Finance
Frequently Asked Questions about Marco Naldi
What company does Marco Naldi work for?
Marco Naldi works for Self-Employed
What is Marco Naldi's role at the current company?
Marco Naldi's current role is Private Investor.
What is Marco Naldi's email address?
Marco Naldi's email address is mn****@****ail.com
What schools did Marco Naldi attend?
Marco Naldi attended Columbia Business School, Alma Mater Studiorum – Università Di Bologna, Alma Mater Studiorum – Università Di Bologna.
What skills is Marco Naldi known for?
Marco Naldi has skills like Fixed Income, Capital Markets, Market Risk, Credit Risk, Derivatives, Financial Modeling, Credit, Quantitative Analytics, Portfolio Management, Credit Derivatives, Management, Hedge Funds.
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