Pietro Silvestri is currently working as a Quantitative Portfolio Manager at Euclidea, specializing in systematic and multi-manager investing. Pietro leverages their expertise in Python to drive informed investment decisions. Prior to this, Pietro was a Quantitative Analyst at Axyon AI, where Pietro focused on research, quantitative investment strategies, trading, and business development. Pietro also had experience as an intern at SIAT and LAR S.p.A. Pietro holds a Master's degree in Matematica finanziaria from Università Bocconi, a Master of Science in Financial Analysis from Università degli Studi di Modena e Reggio Emilia, and a Bachelor's degree in Economics and Finance from the same university.
November, 2021 - present
Quantitative Portfolio Manager at Causeway Capital Management
Quantitative Portfolio Manager at Causeway Capital Management
Quantitative Portfolio Manager at Causeway Capital Management
Quantitative Portfolio Manager at WaveBridge
Quantitative Portfolio Manager at Eagle Seven