Francesco Defonte is an experienced Equity Portfolio Manager at KBC Asset Management, with a tenure beginning in February 2016. Prior to this role, Francesco served as a trainee at Risk Dynamics from June 2015 to September 2015, where responsibilities included the validation and implementation of the Revised Standard Approach (RSA) and Operational Capital at Risk (OpCaR) using MATLAB. Francesco holds a Master of Science in Econometrics and Quantitative Economics from the Solvay Brussels School of Economics and Management, earned between 2014 and 2015, and a Bachelor of Business Administration from Libera Università Mediterranea 'Jean Monnet', completed in 2014.
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