Head of Risk Management
Eurizon Capital SGR SpA
Le conferenze in cui è presente:
Conferenza per professionisti certificati
Sala Blu | Ore 16:30 - 17:30
normativa e fiscalità
Conferenza dedicata a:Operatori del settore
Domenico Mignacca is Head of Risk Management at Eurizon Capital. He joined Sanpaolo Asset Management SGR, now Eurizon Capital SGR, as Risk Management Director in 2001 from BNL Gestioni SGR where he had held the position of Senior Quantitative Analyst from 1997 until 2001. Prior to that In 1995 he joined Deutsche Bank's Risk Controlling Group in Milan, with the task of calculating VaR. Earlier he had an extended career in academia after first graduating from the University of Ancona in 1989 with a degree in Business and Economics, following which he obtained a Masters’ Degree in Economics and Econometrics from the University of Southampton (U.K.). In 1994 he was named Honorary Associate Fellow of the Department of Economics at the University of Wisconsin, in Madison, Wisconsin (USA), where he studied applications of Chaos Theory to Economics. In 1995, returning to the University of Ancona, he received a Doctorate in Quantitative Economics. In 2005 he was also an Adjunct Professor at LIUC (Castellanza - Varese University) and from 2007 up to 2009 he has been Adjunct Professor of Finance at the University of Insubria (Varese). From 2011 to 2013 was a member of the Advisory board of STOXX ltd. He has published several articles on economic and financial issues.