AXA Investment Managers
Davide Pozzi is a seasoned professional in the finance sector, currently serving as a Multi Asset Trader at AXA Investment Managers since February 2022, where responsibilities include executing Equity and FX products and developing automated trading processes. Prior experience includes roles as a Counterparty and Financing Risk Analyst and Market Risk Analyst at BNP Paribas CIB, as well as a Financial Engineer at First Derivatives. Davide began a career in advisory at EY focusing on risk management, particularly in credit risk and regulatory transformation. Davide holds a Master of Science in Management Engineering with a finance stream from Politecnico di Milano, a Bachelor's degree in Management and Production Engineering from the same institution, and a foundation in trading from the Academy of Financial Trading.
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