Axiom Alternative Investments
Antonio Roman is an accomplished finance professional with extensive experience in portfolio management and financial analysis. Currently serving as a Portfolio Manager at Axiom Alternative Investments since June 2018, Antonio focuses on banks, insurers, and diversified financials, specializing in equity long/short and credit strategies. Prior experience includes a role as a Mergers and Acquisitions Analyst at the European Insurance Consolidation Group, where Antonio managed transaction processes and investment screening for EU life insurance back book consolidation. Previously, Antonio worked at JPMorgan Chase & Co. in the Institutional Strategy & Analytics division, concentrating on portfolio construction under Solvency II, capital optimization, and asset-liability management. Antonio's educational background includes an Ingenieur polytechnicien degree in Mathematics and Statistics, Computer Science, and Economics from École Polytechnique, followed by a Master of Science in Actuarial Sciences and Quantitative Finance from ENSAE Paris.
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