Marco Bianchi

Marco Bianchi

Analyst-Equity en Vittoria & Partners LLP .

Perfil

Dr. Marco Bianchi is a Senior Quantitative Analyst at Vittoria & Partners LLP.
Dr. Bianchi started his career in 1994 at the Research Department (Monetary Instruments & Markets) of The Bank of England.
At Barclays Capital, he worked as a quant and corporate bonds risk manager, then at Salomon Smith Barney Citi in the derivatives department.
In 2000, Dr. Bianchi joined Giano Capital, an established equity long-short hedge fund, where he worked as a risk manager and head of R&D in quantitative methods.
He then spent five years with Thames River Capital, initially as a risk manager and subsequently asa co-manager of their European equity long-short fund, with direct responsibility for dedicated hedge overlay.
Since 2009, he has been running his advisory quant firm focusing on global equity markets in the areas of portfolio construction, market timing/hedge overlay strategies for downside protection, risk management, stock price behavior & levels, identificationof smart beta baskets and ideas generation via algorithmic screenings.
Dr. Bianchi obtained a PhD in Statistics and Econometrics from the London School of Economics.

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