Davide Andreoli
Via Nazionale 17, Gianico, (BS), Italy
Tel: -
P.IVA:--
Education-
Master of Quantitative Finance and Risk Management, Bocconi University, Milan.
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Bachelor in Economics and Finance, Bocconi University, Milan.
High school Exchange Program, Coffee High School, Douglas, Georgia (US)
Master Thesis
Title
Solvency II and SCR: analysis and impact of the new regulation
Description
The thesis provides an analysis focused on the impact of Solvency II on bond management
within the insurance business framework, aiming at understand and test the adequacy of
Solvency Capital Requirements (SCR) as risk measure and their impact on the insurances’
investment strategies.
Experience
2019 - Present Freelance Corporate Finance Consultant
2014 - 2018
Risk Management, Intesa Sanpaolo Vita SpA, Milan.
Risk management analyst in the life insurance field. Focus on financial risks (market,
spread and default risks), investment evaluation and capital requirements.
2015 - 2016
Finance/Risk Management, Intesa Sanpaolo Life ltd, Dublin.
Development of a CPPI protection algorithm underlying a unit-linked insurance product.
Languages
Italian
Mother Tongue
English
Fluent
Computer skills
Programming
Matlab, VBA
Other
Microsoft Office (advanced)