Marco di Giacinto
H Derivatives Desk - Financial Risk Management - Investments @Terna SpA
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WORK HISTORY
H Derivatives Desk - Financial Risk Management - Investments @Terna SpA
EDUCATION
Luiss Business School
Financial Markets & Institutions 110/110L. 2°Level Master-M.Phil/equivalent 1st year of Ph.D.program
Scuola Superiore Sant'Anna
Finanza
SDA Bocconi
Corso di Master Universitario di 2° livello-CMU2
Luiss Guido Carli University
Corso avanzato: gestione finanziaria/analisi tecnica e valutazione titoli.
University of Cambridge
English
Dipartimento di management - Università La Sapienza di Roma
Engagement Corporate Governance ed esercizio del Diritto di Voto per gli Investitori Istituzionali
Università degli Studi della Tuscia
Master's Degree: Finance
ABOUT MARCO DI GIACINTO
Strong experience in the financial sector, having worked for some of the most prestigious financial institutions. I hold a Master’s Degree in Finance and an Executive Master\'s in Finance, Corporate Finance, Investments, Derivatives, and Financial Risk Management (Luiss / Bocconi, 110L). I have actively taken part in leading industry initiatives and events, including-Assogestioni Working Group -Forum for Sustainable Finance –ESG -Sustainability Week –Borsa Italiana -Fund Selector events -Rating Agencies meetings -Technical Committee Assofondopensioni Skilled in Bloomberg, Excel, financial modeling, and ESG, I combine technical expertise with adaptability and teamwork, strengthened through both professional and volunteering experiences. Always committed to continuous improvement and professional growth.
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