See How Many Clients You're Missing Each Month

Simply enter your business email & Topline AI Agent will show you.

Bio

Generated by
Topline AI
Luca Buratti is a seasoned finance professional with a strong educational background in finance, economics, and mathematics. He has experience in financial trading, portfolio management, and financial modeling. He holds a Master's degree in Finance from the University of St. Gallen and has worked with top financial institutions such as Citi, FTMO, and Vector Wealth Management.

Credentials

  • IELTS
    British Council
    Mar, 2021
    - Apr, 2026
  • GMAT
    Official GMAT
    Jan, 2021
    - Apr, 2026
  • Bloomberg Market Concepts (Core Cocepts + Portfolio Management)
    Bloomberg LP
    Mar, 2020
    - Apr, 2026
  • ECDL Full Standard
    Associazione Italiana per l'Informatica e il Calcolo Automatico

Experience

  • Vector Wealth Management
    • Lugano, Ticino, Switzerland
    • Assistant Portfolio Manager
      • Jul 2022 - Dec 2022
      • Lugano, Ticino, Switzerland

      • Fund selection and keeping relations with Asset Managers• Structured product development and construction in cooperation with Broker• BRC(Barrier reverse Convertible), Phoenix Notes, Auto-callable notes, Worst-Of BRC

  • Banca Intesa
    • Milan, Lombardy, Italy
    • In-company training
      • May 2020 - Jun 2020
      • Milan, Lombardy, Italy

      • Developed a new peer-to-peer payment method based on QR-code technology integrated with Telegram• Discussed the project in front of the whole office dealing with Territorial banks

    • Institutional Banking
      • Apr 2020 - May 2020

      During the internship, a number of tasks were carried out including:• Prepare a company and industry overview page and consider M&A rationale• Comparables analysis• Discounted cash flow model valuation• Construction of a portfolio that follows an index with particular attention to the needs of the client

    • Financial Trader
      • Jan 2018 - Apr 2020

      • Managed 300 000 USD with 100x leverage (buying power 30 000 000 USD)• Strict risk management, with a maximum exposure per position of 1.5%• Average Annual Capital Gain 12%• Money Management: Max Drawdown 10%, (average) RR per position 1:3 (Swing)

Education

  • 2023 - 2023
    University of St. Gallen - HSG
    MSc Finance (M2), Banking & Finance
  • 2017 - 2020
    Università Bocconi
    Bachelor of Science - BS, Economics & Finance
  • 2021 - 2023
    SFI Swiss Finance Institute
    Master of Science - MS, Finance, Banking
  • 2021 - 2022
    USI Università della Svizzera italiana
    Master of Science - MS, Finance, Banking
  • 2012 - 2017
    Liceo Scientifico A. Banfi, Vimercate, Italia
    High School Diploma, Mathematics

Suggested Services

This profile is unclaimed. These are suggested service rates with 0% commision upon successful connection

Industry Focus. “Financial Services”

Looking to Create a Custom Project?

Need a custom project? We'll create a solution designed specifically for your project.

Get Started

References

Social Profiles

Community

You need to have a working account to view this content. Click here to join now

Similar Profiles