CAT Financial Products AG
Vincenzo Riflesso is a seasoned financial professional with extensive experience in risk management and trading, currently serving as Head of Risk at Maverix Securities AG since September 2022. Prior roles include Head of Market Risk, IPV and PnL Reporting at Leonteq, where Vincenzo played a key role in transforming the IPV operation and leading stress testing and PnL reporting initiatives. Previous trading experience spans several notable institutions such as BNP Paribas, Intesa Sanpaolo, and UniCredit, with a strong focus on equity derivatives and a proven track record of consistently positive P&L. An early career as a Software Engineer at the Ministero della Difesa and military training as a Military Officer at Accademia Navale demonstrate a solid foundation in technology and leadership. Vincenzo's education includes advanced degrees in finance and quantitative disciplines from various prestigious institutions.
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CAT Financial Products AG
CAT Financial Products AG ist einer der führenden Schweizer Anbietern von Anlagelösungen im Markt für Strukturierte Produkte. Seit 2008 bietet die CAT Financial Products professionellen Vermögensverwaltern, Banken und institutionellen Investoren ihre Dienstleistungen über eine der innovativsten Technologien an. Unser erklärtes Ziel ist es, dem Vermögensverwalter modulare Bausteine zur optimalen Bewirtschaftung von Portfolio, Risiko und Rendite zur Verfügung zu stellen. Das Vertrauen unserer Kunden gewinnen wir durch Transparenz, Unabhängigkeit, exzellente Services und IT-Lösungen sowie jahrelanger Erfahrung mit Strukturierte Produkten und derivativen Instrumenten. CAT Financial Products Ltd. is one of the leading Swiss service providers of tailored investment solutions in the structured products market. Since 2008 we are an independent partner for asset managers, banks and institutional investors and provide one of the most innovative settlement and service platforms. Our goal is to generate added value for our asset managers in the context of portfolio, risk and return. We gain the confidence of our clients through transparency, independence, excellent service and years of experience with derivative instruments and alternative investments.