Andrea started his financial career in 2001 working in the Risk Management department of big asset managers in Italy. In 2006 he switched to the hedge fund industry working for a global macro fund, the a long/short equity manager and a multi strategy manager in charge of risk management projects, quantitative analysis and systematic trading. He joined Ayaltis after a brief experience at Credit Suisse.  Andrea has a Master degree in Economics, a Master in Quantitative Finance from the Bocconi University in Milan and he is a PRM and a CAIA charter holder.