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Alkiviadis Koskosidis

Investment Risk Manager at Amundi

Alkiviadis (Alkis) Koskosidis has a strong background in investment risk management and analysis. Alkiviadis (Alkis) is currently working as an Investment Risk Manager at Amundi Asset Management since February 2020. Prior to this, Alkis was an Investment Risk Associate at Systematica Investments from March 2018 to October 2019.

Before joining Systematica Investments, Alkis gained experience as a Risk Analyst at BGC Partners from June 2017 to January 2018. Alkiviadis (Alkis) also worked as a Quantitative Portfolio & Risk Analyst at a Private Wealth Management Firm from December 2015 to April 2017.

In addition to their industry experience, Alkis has academic experience as a Research & Teaching Associate at Aristotle University of Thessaloniki (AUTH), where they participated in various research activities and co-taught a range of courses related to industrial management, investments analysis, corporate finance, environmental and energy economics, and system dynamics.

Alkis began their career as a Research Analyst during a summer internship at Euroconsultants in June 2012.

Alkiviadis (Alkis) Koskosidis has a strong educational background. Alkiviadis (Alkis) holds a High School diploma from the Anatolia College of the American College of Thessaloniki. Following this, they pursued a Diploma of Mechanical Engineering, specializing in Industrial Management, at Aristotle University of Thessaloniki (AUTH). Alkiviadis (Alkis) then continued their education at the same university and obtained a Ph.D. (C.) in Industrial Engineering, focusing on Operations Research and Statistics. Additionally, Alkis has also completed an MSc in Risk Management & Financial Engineering from the prestigious Imperial College Business School.

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Timeline

  • Investment Risk Manager

    February, 2020 - present