Dino Mastroianni

Chief Risk Officer at Mount Murray Investment
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Contact Information
Location
Montreal, Quebec, Canada, CA
Languages
  • English Native or bilingual proficiency
  • French Native or bilingual proficiency
  • Italian Native or bilingual proficiency

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5.0

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Tony Beaulac ASA, CFA

J’ai eu l’opportunité de travailler avec Dino de juin 2014 à janvier 2016 à la Caisse de dépôt et placements du Québec dont la dernière année à titre de superviseur. Dino a un bon sens d’analyse critique et est hautement qualifié en ce qui a trait à la gestion du risque des marchés boursiers. Que ce soit selon une approche « long-only » ou « long-short », il a une grande capacité à vulgariser des concepts de risque complexes de façon à ce que ses interlocuteurs comprennent et soient au courant des risques présents en portefeuille. Il propose des solutions menant à la prise ou la réduction du risque en faisant ressortir les pours et les contres, et ce dans le plus grand respect des individus. Dino est un joueur d’équipe qui se démarque par sa disponibilité à répondre aux questions de son entourage. À cet égard, sa patience est exemplaire, il sait s’adapter à son auditoire afin de transmettre ses connaissances de sujets complexes avec une grande pédagogie. Ce fut un grand plaisir de travailler avec Dino au cours des deux dernières années, son professionnalisme et sa passion pour la gestion du risque font de lui un atout pour toute entreprise désirant intégrer des outils et techniques avant-gardistes et modernes dans son processus de gestion du risque.

Hence Orme

I managed a market-neutral US industrials equity portfolio at CDPQ New York and have worked closely with Dino Mastroianni over the past six years. Dino is a highly-qualified risk manager. He has a strong grasp of modern risk management tools and techniques and the communication skills, willingness and patience to explain these concepts to busy, fundamentally-oriented portfolio managers. Dino is skilled not only in identifying and managing risk at the individual portfolio level, but also across the several sector-based portfolios that comprised CDPQ New York's market-neutral operation. The portfolio managers had very different investment styles, some more concentrated, others more diversified, often held stocks in several currencies and several used derivatives extensively. Not only is he a highly-qualified risk manager, but Dino became an integral part of the design and implementation of my fundamental quantitative investment process. Dino advised me on academic sources to consult, how to make backtests more realistic and how to incorporate risk management into the design of my approach. On a day-to-day basis, Dino was always available to help me understand the risks in my portfolio and how to mitigate those I did not want. Dino was a pleasure to work with and is easy to recommend. He brings a great deal to any risk management role both in terms of skill and collegiality. I strongly recommend Dino to anyone looking either to improve their firm's approach to risk management or to put their risk management processes on a firm foundation from the beginning.

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Experience

    • Canada
    • Investment Management
    • 1 - 100 Employee
    • Chief Risk Officer
      • Jul 2020 - Present

      Mount Murray Investment is an active investment management firm focusing on specific strategies in global public equities which are relevant to earn significant long term returns. Mount Murray Investment is an active investment management firm focusing on specific strategies in global public equities which are relevant to earn significant long term returns.

    • Vice president and portfolio manager
      • Feb 2017 - Jun 2020

      • Helped manage a 30M$ institutional market neutral mandate as well as 8M$ worth of retail client long only portfolios based on Canadian, US and EAFE mandates. which included having input in developing the strategy, implementing it and rebalancing/trading it: • Analyzed existing and prospective strategies: o Provided partners and clients with monthly risk and attribution analyses on all portfolios giving them insights on prospective risk and performance drivers • Generated ideas for new strategies including a factor based minimum variance portfolio which was used within a minimum drawdown strategy Show less

    • Canada
    • Investment Management
    • 700 & Above Employee
    • Director Advisory Services, Risk Management, Equities
      • Oct 2006 - Aug 2016

      - Help PMs understand the risks they take through the lens of risk factors and provide guidance to optimise their return/risk profile.

    • Director Data Management
      • Jul 2005 - Oct 2006

      Responsible for implementing a data management strategy and for managing relationships with data providers Worth over 25M$.

    • Sweden
    • Strategic Management Services
    • 1 - 100 Employee
    • Director, Sales & Client Support
      • May 2000 - Mar 2004

      Reported to the Senior Vice President, Global Sales and was responsible for managing a team of 15 sales and client support consultants overseeing a 100M$ Run Rate. Reported to the Senior Vice President, Global Sales and was responsible for managing a team of 15 sales and client support consultants overseeing a 100M$ Run Rate.

    • United States
    • Investment Management
    • Senior Manager, Sales and Client Support
      • Oct 1995 - May 2000

      Provided financial solutions to existing and prospective clients and undertook reseach projects for certain clients. Provided financial solutions to existing and prospective clients and undertook reseach projects for certain clients.

Education

  • Concordia University
    M.Sc., Finance
    1993 - 1995
  • Concordia University
    Independent studies, Finance and Financial Management Services
    1992 - 1993
  • Université de Montréal
    Bachelor of Science (B.Sc.), Major in Economics and Minor in Finance
    1989 - 1991

Community

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