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Matteo Bonetti

Financial Economist - Financial Markets Division (risk Management Department) at De Nederlandsche Bank

Matteo Bonetti is a Financial Economist in the Financial Markets Division at De Nederlandsche Bank, with experience in risk management since September 2020. Prior to this role, Bonetti was a PhD candidate at Maastricht University School of Business and Economics from September 2016 to August 2020, focusing on pension funds asset allocation and the economics of social networks while also teaching various finance subjects. Previous positions include Research Assistant at Collegio Carlo Alberto, where research involved welfare policies and financial literacy, and internships at Incofin Investment Management, EFFEBI Assicurazioni S.a.s, Hughes Blake, Agenzia delle Entrate Savigliano, and Farmalease, covering areas such as credit analysis, insurance brokerage, and data collection. Bonetti holds a Doctor of Philosophy in Finance from Maastricht University, a Master of Science in Quantitative Finance from Università degli Studi di Torino, and a Bachelor of Science in Banking, Corporate Finance, and Securities Law from the same institution. An Erasmus exchange in Economics was completed at Umeå University.

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