Matteo Garzoli, PhD, CFA, is a Quantitative Analyst at Vontobel Asset Management since March 2022, specializing in developing and maintaining quantitative models for portfolio optimization and risk assessment while analyzing financial data across various asset classes. Prior to this role, Matteo served as a Research Assistant at USI Università della Svizzera italiana, contributing to significant research projects and co-authoring academic papers, and gained analytical experience through internships at Essentia Family Office and UBS. Matteo holds a PhD in Finance from SFI Swiss Finance Institute and has advanced degrees from reputable institutions including a Master's in Finance from Imperial College Business School and a Master's in Management, Technology and Economics from ETH Zürich.
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