About Gianluca Baglini
I am a quantitative finance student and passionate. I have got experience in the banking risk management and buy-side asset managers. I am genuinely curious about developments in the financial markets, latest news and trends. My interest extends to the study of news investment approaches and models for long-term portfolio management.
Alongside with the pure finance related and quantitative skills, I am keen to learn about the alternative investment space. That led to purse and achieve the CAIA Certification which broadened my knowledge and expertise in topics such as Private Equity, Real Assets and Hedge Funds.
My objective is
to acquire essential skills that will enable me to have a comprehensive
understanding of optimal solutions for clients and partners, ultimately
enhancing my own knowledge and expertise.