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Università degli Studi di Pavia - Department of Economics and Management

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Roberto Silvotti

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Curriculum vitae

Professional Positions in Finance:

  • Chenavari Investment Managers Luxembourg: Director (since Feb 2012) & Risk Conducting Officer (since Jul 2014)
  • Chenavari Multi Strategy Credit Fund, Cayman: Director (since Oct 2009)
  • Chenavari Investment Managers, Guernsey: Director (since Jun 2013)
  • Chenavari Investment Managers, London (Feb 2012 – Jan 2014): Chief Risk Officer
  • Royal Bank of Scotland, London (Sep 2007 – May 2008): Co-Head of StructuredCredit and Head of Index Strategy.
  • Dresdner Kleinwort, London (Jun 2005 – Sep 2007): Managing Director. Head of Derivatives Structuring and New Products Development.
  • Calyon, London (Jan 2002 – Apr 2005): Managing Director, Global Head ofStructured Credit, Derivatives & CDO Trading.
  • Goldman Sachs, Derivatives Analysis, Firmwide Risk, London (Sep 2000– Jan 2002): Executive Director. Point person for the group’s work on Credit Derivatives.
  • Risk Management & Research, Banca Intesa, Milano (Oct 1999 – Aug 2000): Responsabile Credit Derivative

Academi Positions:

  • Scuola Normale Superiore, Pisa (1998 –1999): Guest Professor of Mathematics.
  • Max Planck Institut für Mathematik, Bonn (1997–1998): Guest Professor of Mathematics.
  • Institute for the Mathematical Sciences, SUNY at Stony Brook (NY) (1995 – 1997): The Simons Fellow in Math & Physics.
  • Dept. of Mathematics, Columbia University, New York (1990 – 1995): Ritt, Assistant Professor of Mathematics. 
  • Mathematical Sciences Research Institute, Berkeley (CA) (1991): Postdoctoral Fellow.
  • Institute for Advanced Study, Princeton (NJ) (1989 –1990): Member of the School
    of Mathematics.

 

Credits: apnetwork.it