Mattia Menchi

Mattia Menchi

Analyst @ Apollo

About Mattia Menchi

Mattia Menchi is an Analyst at Apollo Global Management Inc., where he has worked since 2020. He has a diverse background in finance, having held various roles in data analysis, risk management, and quantitative analysis across multiple prestigious firms.

Work at Apollo

Mattia Menchi has been employed at Apollo Global Management Inc. as an Analyst since 2020. In this role, he applies his expertise in econometrics and risk analysis to enhance efficiency and accuracy in financial markets. His work involves utilizing big data to optimize investment decisions and manage portfolio risk allocation.

Education and Expertise

Mattia Menchi holds multiple degrees in finance and economics. He studied at LUISS Guido Carli University, achieving a Master in Finance and a Bachelor in Economics. He also completed a Master in Financial Engineering at HEC Lausanne and a Master in Finance at FEP - Faculdade de Economia da Universidade do Porto. He possesses a Financial Risk Manager (FRM) certification and specializes in econometrics, risk analysis, and the use of big data in investment strategies.

Background

Mattia Menchi has a diverse professional background in finance and analytics. He began his career as a Private Banking Advisory intern at Barclays Wealth and Investment Management in 2013. He has held various roles, including Quantitative Analyst Intern at Ladbrokes and Electronic Trading Data Analyst Intern at ING. His experience includes positions at Aviva Investors, Moody's Investors Service, and Fasanara Capital Ltd, where he focused on model validation and structured finance.

Previous Work Experience

Before joining Apollo, Mattia Menchi worked at Aviva Investors as a Model Validation Analyst for two years, focusing on pricing and investment risk. He also served as a Financial Analyst at Moody's Investors Service for one year and as a Quantitative Risk/Algorithmic Trader Intern at Fasanara Capital Ltd. His internships at ING and Ladbrokes provided him with foundational experience in data analysis and quantitative finance.

Certifications and Skills

Mattia Menchi holds the Financial Risk Manager (FRM) certification, demonstrating his proficiency in risk management. His skills include econometrics, risk analysis, and the application of big data to improve investment decision-making. He is known for his focus on innovation within financial markets, aiming to enhance operational efficiency.

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