Michele Gianangeli

Michele Gianangeli

Stagista

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location of Michele GianangeliMilan, Lombardy, Italy

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  • Timeline

  • About me

    MSc in Finance (LM-16) | Universitá degli Studi di Milano-Bicocca

  • Education

    • Liceo Scientifico Galileo Galilei

      2014 - 2019
      High School Diploma
    • Università degli Studi di Milano-Bicocca

      2022 - 2025
      Laurea Magistrale in Finanza Economia e finanza 110 e Lode

      Activities and Societies: Principali corsi: - Quantitative Finance (Derivatives & Portfolio Theory) - Advanced Derivatives (Equity & Interest Rate) - Statistics (Inference & Credit Risk) - Econometrics - Strategie di Investimento - Financial Economics (Dynamic Asset Pricing & Economia dei Contratti Finanziari) - Informatica - Python. Tesi di laurea: "Climate Portfolio: ottimizzazione vincolata tra obbiettivi ESG e requisiti dei Climate Benchmarks"

    • Università degli Studi di Perugia

      2019 - 2022
      Laurea triennale in Scienze dell'Economia e della Gestione Aziendale Economics
  • Experience

    • Banca Mediolanum

      Mar 2022 - Apr 2022
      Stagista

      Working in a financial advisor's office with the aim of acquiring the working method.Drafting Personal Consultancy Plans (PCP) by analysing the financial and economic situation of clients

    • Miura Financial Research

      Apr 2023 - now
      Analyst

      Production of macroeconomic analysis reports based on data from the Investing Economic Calendar, with the goal of providing guidance on financial market trends, particularly in the United States. Additionally, I conduct quarterly reviews to adjust the asset allocations of a demo investment portfolio, managed within Bloomberg.

    • Protiviti

      Oct 2024 - now

      Support for risk analysis and monitoring of Alternative Investment Funds (AIFs), with a focus on Risk Rating assessment and analysis of key risk factors (Market, Liquidity, Credit, Counterparty, Operational, and ESG Risk).Involvement in co-investment analysis activities, including the review of documentation provided by Fund Administrators, assessment of valuation consistency, and Net Asset Value (NAV) calculation.Participation in valuation activities for private equity and infrastructure fund portfolio companies, with a focus on Business Plan analysis, Enterprise Value and Equity Value determination, through Discounted Cash Flow (DCF) and the Multiples Method. Show less

      • Risk & Sustainability - Consultant

        Jan 2025 - now
      • Risk & Sustainability - Intern

        Oct 2024 - Mar 2025
  • Licenses & Certifications

    • Bloomberg ESG Certificate

      Bloomberg
      Apr 2024
      View certificate certificate
    • Seminario Private equity

      RedFish Capital
      Dec 2023
    • Council of Europe Level B1

      Cambridge University Press & Assessment
      Feb 2019
    • Seminario ESG investing

      Moneyfarm
      Jun 2024
    • Matlab Onramp

      MATLAB Coding
      Jul 2023
      View certificate certificate
    • Samsung Innovation Camp

      Samsung Electronics
      Nov 2020
    • Bloomber Market Concepts

      Bloomberg
      Dec 2023
      View certificate certificate