Intesa Sanpaolo
Davide Rigoni is an experienced market risk analyst, currently employed at Intesa Sanpaolo since February 2018, specializing in bond pricing. Previously, Rigoni worked at Gruppo Banca Popolare di Vicenza as a market risk analyst, where responsibilities included daily reporting on Value at Risk (VaR), profit and loss (P&L), and greeks analysis, alongside pricing structured financial products. Rigoni's professional background also includes internships focused on market risk management and credit risk. Academic qualifications comprise a Master of Science in Economics and Finance with a focus on Risk Management from Università Ca' Foscari di Venezia and courses undertaken during an Erasmus program at Københavns Universitet. Proficient in various software tools, including MS Office, Murex, Bloomberg, Monis, and Factset, Rigoni brings a solid foundation in economic principles and risk management practices.
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