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Roberta Forlenza Email & Phone Number

Asset-Allocation Department - SGR Generali Insurance Asset Management presso Generali Investments at Generali Investments
Location: Milan, Lombardy, Italy 4 work roles 3 schools
1 work email found @generali-invest.com LinkedIn matched
✓ Verified July 2026 4 data sources Profile completeness 100%

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Current company
Role
Asset-Allocation Department - SGR Generali Insurance Asset Management presso Generali Investments
Location
Milan, Lombardy, Italy
Company size

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Roberta Forlenza is listed as Asset-Allocation Department - SGR Generali Insurance Asset Management presso Generali Investments at Generali Investments, a with 455 employees, based in Milan, Lombardy, Italy. AeroLeads shows a work email signal at generali-invest.com and a matched LinkedIn profile for Roberta Forlenza.

Roberta Forlenza previously worked as Strategic Asset-Allocation at Generali Investments and Risk Manager - SGR Generali Investments Partners at Generali Investments. Roberta Forlenza holds Master In Finanza Avanzata from Istituto Per La Ricerca E Attività Educative I.P.E..

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{first}.{last}@generali-invest.com
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Profile bio

About Roberta Forlenza

Roberta Forlenza is a Asset-Allocation Department - SGR Generali Insurance Asset Management presso Generali Investments at Generali Investments. She possess expertise in business analysis, gestione del rischio, change management, microsoft excel, microsoft office and 5 more skills.

Listed skills include Business Analysis, Gestione Del Rischio, Change Management, Microsoft Excel, and 6 others.

Current workplace

Roberta Forlenza's current company

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Generali Investments
Generali Investments
Asset-Allocation Department - SGR Generali Insurance Asset Management presso Generali Investments
trieste, friuli-venezia giulia, italy
Employees
455
AeroLeads page
4 roles

Roberta Forlenza work experience

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Strategic Asset-Allocation

Current

Milano, Lombardia, Italia

Asset Allocation Department - SGR Generali Insurance Asset Management

Jan 2021 - Present

Risk Manager - Sgr Generali Investments Partners

Milano, Italia

Profilo: Risk Management Department nell’ambito dei PTFs MTM con focus su:• PTF Risk Profile, definizione limiti interni di risk/performance e monitoraggio dei PTFs:• Analisi di Rischio ex ante: metriche monitorate VaR, Volatility e TEV vs BMK;• Aktive Risk Framework: analisi di DrawDown (orizzonte temporale predefinito o dinamico); • Analisi di Performance: portfolio attribution vs BMK e contribution per TR;• ESMA Liquidity Stress Testing: sviluppo e gestione dello stream riguadante l’implementazione dei nuovi requirements, con riferimento alle Liabilities;• Attività di supporto e collaborazione con le parti interessate: richieste ad hoc e presentazioni analitiche a clienti interni (Consiglio di Amministrazione, Comitato Investimenti, Comitato Rischi,…) e a clienti esterni.Tra le piattaforme utilizzate: FactSet, Sofia, SimCorp, MSCI Risk Metrics.

Sep 2018 - Dec 2020

Senior Consultant

Roma, Italia

Senior Consultant nell’ambito della gestione del rischio di credito. Sviluppo progetti di IFRS 9 Conversion con specifico riferimento alle analisi di impatto quantitativo e qualitativo in ambito valutazione del credito (IFRS 9 – Impairment). Linguaggi di programmazione utilizzati (SAS) Attività di fair valuation di strumenti finanziari - stima dei flussi di cassa attesi ponderati per il rischio di credito e attualizzazione secondo curve benchmark di mercato. Linguaggi di programmazione utilizzati (VBA)

Nov 2016 - Sep 2018

Consultant

Milano, Italia

Consultant nell’ambito della gestione del rischio di Mercato. Il progetto ha l’obiettivo di analizzare e comporre, in maniera statisticamente significativa, un Portfolio (Hedging Portfolio) che sia in grado di coprire le perdite a cui la banca è esposta in caso di eventi di coda (Macro Risk) o shock del mercato (Micro Risk)Attività svolte: Attività di sviluppo ed implementazione degli algoritmi per la determinazione del pricing (formule utilizzate: chiuse- Black&Scholes- e aperte), analisi di regressione, determinazione dei DrawDown. Linguaggi di programmazione utilizzati: MATLAB e VBA Creazione di un sistema di Reporting della Performance del Portfolio detenuto dai traders della Banca.  Analista funzionale per la gestione di un Market Data Server interno alla Banca e lavoro di data quality. Tra le piattaforme utilizzate: Bloomberg (e richieste DataLicense)

Jun 2015 - Nov 2016
Team & coworkers

Colleagues at Generali Investments

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3 education records

Roberta Forlenza education

Master In Finanza Avanzata

Istituto Per La Ricerca E Attività Educative I.P.E.
FAQ

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What company does Roberta Forlenza work for?

Roberta Forlenza works for Generali Investments.

What is Roberta Forlenza's role at Generali Investments?

Roberta Forlenza is listed as Asset-Allocation Department - SGR Generali Insurance Asset Management presso Generali Investments at Generali Investments.

What is Roberta Forlenza's email address?

AeroLeads has found 1 work email signal at @generali-invest.com for Roberta Forlenza at Generali Investments.

Where is Roberta Forlenza based?

Roberta Forlenza is based in Milan, Lombardy, Italy while working with Generali Investments.

What companies has Roberta Forlenza worked for?

Roberta Forlenza has worked for Generali Investments, Kpmg Italy, and Avantage Reply.

Who are Roberta Forlenza's colleagues at Generali Investments?

Roberta Forlenza's colleagues at Generali Investments include Guido Maistri, Francesco Boarotto, Giovanna Del Giudice, Barbara Pastorelli, and Cyrille Carrère.

How can I contact Roberta Forlenza?

You can use AeroLeads to view verified contact signals for Roberta Forlenza at Generali Investments, including work email, phone, and LinkedIn data when available.

What schools did Roberta Forlenza attend?

Roberta Forlenza holds Master In Finanza Avanzata from Istituto Per La Ricerca E Attività Educative I.P.E..

What skills is Roberta Forlenza known for?

Roberta Forlenza is listed with skills including Business Analysis, Gestione Del Rischio, Change Management, Microsoft Excel, Microsoft Office, Lingua Inglese, Management, and Economia.

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