Mario Marra

CEO

London, England, United Kingdom9 yrs 4 mos experience
Most Likely To SwitchHighly Stable

Key Highlights

  • Experienced in multi-strategy fixed income hedge funds.
  • Strong background in portfolio management and equity derivatives.
  • Proficient in VBA for data analysis and project management.
Stackforce AI infers this person is a seasoned finance professional with expertise in portfolio management and equity derivatives.

Contact

Skills

Core Skills

Portfolio ManagementEquitiesEquity DerivativesProject ManagementVba

Other Skills

Bloomberg Terminal (Including API)C++Capital StructuresData AnalysisEquity ResearchPythonRSystematic Strategies

Experience

Blackrock

2 roles

Vice President - Portfolio Manager

Promoted

Jan 2023Present · 3 yrs 2 mos

  • - Equities and capital structures PM for a systematic multi-strategy fixed income hedge fund
EquitiesCapital StructuresPortfolio Management

Associate - Portfolio Manager

Sep 2018Dec 2022 · 4 yrs 3 mos

  • - Equities and capital structures PM for a systematic multi-strategy fixed income hedge fund
EquitiesCapital StructuresPortfolio Management

Gardena capital ltd

Assistant Portfolio Manager

Jan 2017Aug 2018 · 1 yr 7 mos · London, United Kingdom

  • Assistant PM for an equity derivatives hedge fund
  • Equity derivatives and systematic strategies
Equity DerivativesSystematic StrategiesPortfolio Management

Amazon

VBA Analyst/Project Manager

Aug 2016Dec 2016 · 4 mos · London, United Kingdom

  • Project manager for Amazon Fashion in Pan EU integration
  • VBA technical solutions and data analysis
VBAData AnalysisProject Management

Education

University of Surrey

Master’s Degree — MSc Banking and Finance

Jan 2014Jan 2015

Università degli Studi di Napoli Federico II

BSc Financial Firms Economics

Jan 2011Jan 2014

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