Giovanni Ferretti

Giovanni Ferretti

Intern

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location of Giovanni FerrettiMilan, Lombardy, Italy

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  • Timeline

  • About me

    Vice President - Debt Capital Markets - FIG Origination at IMI - Intesa Sanpaolo

  • Education

    • Liceo Scientifico Statale A. Righi

      2003 - 2008
      High School Piano Nazionale dell'Informatica 100/100
    • Bocconi University

      2011 - 2014
      Master's Degree Finance 105/110

      Activities and Societies: Exchange program at the Robert H. Smith School of Business, University of Maryland, College Park, MD Graduated in March 2014, final essay "On currency crises: brief history and a modelling proposal" in which a two-state Markov Regime-Switching model is implemented using a Gibbs sampling framework and a blend of Bayesian and classical methods

    • Bocconi University

      2008 - 2011
      Bachelor's Degree Economics & Finance 107/110

      Graduated in July 2011, final essay on a Markov Regime-Switching model applied to the US Real Estate market

  • Experience

    • World Health Organization

      Jun 2010 - Aug 2010
      Intern

      Country focus department – Supporting senior officials in their everyday tasks including devising effective data collection systems for questionnaires deployed across country offices worldwide and analyzing data

    • Societe Generale Securities Services

      May 2011 - Sept 2011
      Employee

      Transfer agent – The team acts as transfer agent for foreign UCITS-compliant funds liaising with both retail banks and major foreign asset managers

    • Allianz Italia

      Jun 2012 - Dec 2012
      Intern

      Risk management, credit & market risk – This team manages the credit and the market risk of the portfolio of investments backing the life products. I had the chance to support the team in testing some internal systems to assess the portfolio risk based on the Solvency II framework and I contributed with some general data-analysis tasks

    • M&G

      Jun 2013 - Aug 2013
      Summer Intern

      Investments team – I joined the team in charge of supporting portfolio managers in the M&G Leveraged Finance fund. The main tasks included performing historical performance analysis and helping preparing client presentations. I also interacted with the credit analysts in charge of putting forward new investment proposals, familiarizing with the origination process

    • Societe Generale Corporate & Investment Banking

      Sept 2013 - Dec 2014
      Project Finance Analyst

      Project finance portfolio management – The team manages a diversified portfolio of project finance deals - including infrastructure, oil & gas, mining and resource-based finance deals – supporting the origination team and monitoring the associated credit risk. Other tasks include running the agency side of some deals and liaising with clients, syndicate members and legal and technical advisers

    • Banca IMI

      Dec 2014 - Sept 2018

      The team provides debt syndication services to the wide array of issuers which are customers of the Intesa Sanpaolo banking group, working closely with the DCM origination teams to formulate reliable pricing indications for new issues, provide strategic advice, elaborate strategies to best approach the market and offer first-class execution capabilities for new transactions when they are launched on international capital markets. The Credit Derivatives Trading desk, part of the Structured Credit Trading desk, works closely with the Structuring team and with other entities part of the Intesa Sanpaolo banking group to provide them with full coverage on any aspect concerning credit derivative products – from single-name CDS to credit indices and credit swaptions, and much more. Given its broad mandate, the desk has the ability to take proprietary trading positions in a highly flexible fashion, too.

      • Debt Syndication

        Mar 2017 - Sept 2018
      • Credit Derivatives Trading

        Dec 2014 - Mar 2017
    • Moody's Investors Service

      Sept 2018 - May 2023

      The Surveillance team is mainly active in the monitoring of existing Structured Finance transactions that have been rated by Moody’s. The monitored portfolio spans several different classes of transactions, including auto-loan ABS, CDQ, RMBS and NPLs. In addition to the monitoring business, the Surveillance team is in charge of strengthening and developing new commercial relationships with the community of investors active in the structured finance market. In doing so, the Surveillance team is, among the others, actively engaged in producing market-relevant, impactful and authoritative research, to provide Moody’s clients with unparalleled insight on the Structured Finance market. Show less

      • AVP-Account Manager

        Oct 2021 - May 2023
      • Analyst

        Nov 2020 - Oct 2021
      • Associate Lead Analyst

        Sept 2018 - Nov 2020
    • Intesa Sanpaolo

      May 2023 - now
      Vice President, Debt Capital Markets, FIG Origination
  • Licenses & Certifications

    • IELTS

      University of Cambridge - ESOL Examinations
      Sept 2012
    • GMAT

      GMAC
      Feb 2011
    • Thomson Reuters Markets Academy Certificate

      Thomson Reuters
      Dec 2010
    • ECDL - European Computer Driving License

      AICA
      Oct 2008
    • FCE - First Certificate in English

      University of Cambridge - ESOL Examinations
      Dec 2007