Federico I. is a professional in Global Risk Management at BBVA, focusing on integrating environmental dimensions into financial risks. They have extensive experience in data science and engineering, particularly within the finance and risk management sectors, working on projects related to credit and market risk in both banking and energy. Federico holds multiple master's degrees in Finance, Risk Management, and Data Science, and is currently pursuing a PhD in Quantitative Finance at Universidad Complutense Madrid. They have also researched reinforcement learning applications in finance while studying in various European countries.
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