I am a data scientist with a PhD in Statistics, actually working for a company that deals with European funds. I am particularly expert with R and Matlab.
2013–Present: PhD in Economics, Università Politecnica delle Marche, Ancona, Thesis Title – Modeling the Cholesky Factors of Realized Covariance Matrices using Exogenous Variables: A Portfolio Optimization.
July 2016: Big Data Econometrics and Machine Learning, Società Italiana di
November 2015: School on Data analysis and programming with R, Free University of Bozen, Bolzano.
2010–2012: Master’s Degree in Economic and Financial Sciences, Università Politecnica delle Marche, Ancona. Specialized in Finance, Banks and Insurances
2007–2010: Bachelor of Science in Economics, Markets and Management, Università
Politecnica delle Marche, Ancona. Specialized in Economics and Finance
November 2016–Present: Junior Expert, t33. Activities:
-Drafting articles for fi-compass
-Data Collection for quantitative analysis
-Implementation of quantitative models
-Statistical analysis of dataset
January 2014–November 2016: Statistics Teaching Assistant, Università Politecnica delle Marche.
November 2012– September 2013: Intern, Sanpaolo Invest.
-Activities in support of the local Regional Manager, Donato Pugliese
May 2012: Undergraduate Intern, Banca di Credito Cooperativo Picena
July 2010–September 2010: Undergraduate Intern, Banca di Credito Cooperativo Picena.
- R (5 years experience)
- Matlab (5 years experience)
- data analysis, Econometrics, Finance, Public speaking
- English (professional), Italian (mothertongue), Spanish