Giovanni Paci has a diverse work experience in portfolio management and research. Giovanni is currently working as a Portfolio Manager at Amundi since December 2022. Prior to their current role, they worked at BT Pension Scheme Management and Administration from January 2018 to December 2022, where they held positions as a Portfolio Manager and Manager of Portfolio Management. Before that, Giovanni worked at Barclays Investment Bank from June 2015 to December 2017, serving as a Currency Strategist in Macro Research and an AVP in Quantitative Analytics Market Risk. Giovanni also worked as a Research Scholar in Neuroeconomics at New York University from May 2014 to May 2015.
Giovanni Paci pursued their education in a systematic manner. Giovanni first obtained a Bachelor's Degree in Statistics from Sapienza Università di Roma, which they completed between 2003 and 2006. Giovanni then went on to pursue a Master's Degree in Economics from the University of Warwick for the duration of 2007. Giovanni'sacademic journey culminated at Columbia University, where they obtained a Doctor of Philosophy (Ph.D.) in Economics between 2009 and 2014.
In addition to their formal education, Giovanni Paci also acquired several certifications. In August 2016, they obtained Level 3 Derivatives, Level 3 Securities, and UK FCA Regulation certifications from the Chartered Institute for Securities & Investment (CISI).
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