Gino Schioppa

Investment Risk Manager at Vontobel

Gino Schioppa is an experienced investment professional currently serving as an Investment Risk Manager at Vontobel Asset Management since August 2018, where responsibilities include monitoring portfolio risk analysis, assessing investment risks across multiple asset classes, and collaborating on improvement strategies for data quality with IT teams. Previously, Gino worked at STOXX Ltd. from February 2015 to July 2018 as an Index Specialist and Index Analyst, focusing on the management, calculation, and surveillance of Equity Portfolio Indices. Earlier experience includes a role as a Market Analyst Junior at MPS Capital Services, which involved market monitoring and financial analysis, and an internship at Generali, where Gino gained insights into the insurance market. Gino holds a Master of Science in Finance from Università di Siena and a Master of Science in Banking and Finance from the University of Zurich, along with a Bachelor's degree in Economic and Banking Sciences.

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Vontobel

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Vontobel Holding AG is a leading Swiss private banking and investment management group headquartered in Zurich.


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1,001-5,000

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