Christopher Adriano
Capital Markets | Trading | Investment Mgmt. | Risk Mgmt. | Project & People Mgmt. | Series 7 & 24 license
- Role
- Quantitative Risk Analysis - Senior Manager at Fidelity Investments
- Location
- Charlotte, NC, US
- LinkedIn followers
- 500 followers
About Christopher Adriano
Seasoned management and analytical professional with solid and progressive experience in the capital markets industry including trading, structured debt/project financing, financial and investment management/analysis, risk management and internal audit activities. Highly versatile across all commercial and non-commercial functions while performing due diligence and managing risks. Core competencies include- Model risk management (analysis and governance)- Internal audit of institutional/capital markets compliance, market risk and counterparty credit risk management- Equities and energy commodities trading (including research and analysis)- Non-recourse debt financing of energy projects (including renewable energy)- Financing due diligence, negotiations and closing- Investment and asset management - quantitative analysis- Financial valuation, modeling and analysis (including deal pricing, data mining and analysis)- Market risk management (including hedging and risk management tools)- Trading operations management (front and middle office)- Financial management and reporting- Financial technology enhancements and process improvements- Understanding of financial regulations (i.e. Dodd Frank, Volcker Rule, Basel, etc.)
Experience
Quantitative Risk Analysis - Senior Manager
Mar 2022 — Present · Charlotte, NC, US
Model Validation (across all products and strategies)- Quantitative Model Risk Management and Analysis
Education
The Johns Hopkins University - Carey Business School
Master of Business Administration (MBA), Finance
James Madison University
Bachelor of Business Administration (BBA), Accounting with Minor in Economics
Skills
- Structured Finance
- Financial Structuring
- Bloomberg
- Energy Markets
- Capital Markets
- Swaps
- Trading Strategies
- Financial Modeling
- Derivatives
- Financial Analysis
- Corporate Finance
- Alternative Investments
- Private Equity
- Asset Managment
- Equity Research
- Market Risk
- Wind
- Valuation
- Commodity
- Financial Risk
- Portfolio Management
- Solar Energy
- Investments
- Fixed Income
- Electricity Markets
- Risk Management
- Renewable Energy
- Alternative Energy
- Financial Markets
- Mergers & Acquisitions
- Trading
- Hedging
- Quantitative Finance
- Internal Audit
- Natural Gas
- Due Diligence
- Hedge Funds
- Analysis
- Finance
- Power Trading
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