Gabriele G.
About Gabriele G.
Gabriele G. is a Quantitative Analyst at UBS, specializing in programming and quantitative finance. He holds multiple degrees in finance and risk management and has a focus on quantitative risk management and asset management.
Work at UBS
Gabriele G. has been employed at UBS as a Quantitative Analyst since 2023. Prior to this role, Gabriele worked at UBS in the same capacity from 2022 to 2023. In this position, Gabriele contributes to the Credit Risk Methodology team, focusing on areas such as International Mortgages Pillar 2, Provisions, and Climate Risk.
Education and Expertise
Gabriele G. holds a Second level Master's Degree in Finance, Insurance and Risk Management from Collegio Carlo Alberto, which was completed from 2021 to 2022. Gabriele also earned a Master's Degree in Banking and Finance from Università degli Studi di Udine between 2018 and 2020. Additionally, Gabriele obtained a Bachelor's Degree in Business Economics from the same university, studying from 2015 to 2018. Gabriele has a specialized focus on programming within the field of quantitative finance.
Background
Gabriele G. has expressed a career interest in quantitative risk management and asset management since July 2022. This interest aligns with Gabriele's academic background and professional experience in quantitative analysis and finance.
Career Progression
Gabriele G. has developed a career in quantitative analysis, starting with a Bachelor's Degree in Business Economics, followed by a Master's Degree in Banking and Finance. Gabriele's education culminated in a Second level Master's Degree in Finance, Insurance and Risk Management. This educational path has supported Gabriele's roles at UBS and the focus on quantitative risk management.