State-dependent risk
Quantitative Analyst
3 years with Vontobel
Zurich
Vontobel Asset Management AG
Genferstrasse 27
CH-8022 Zurich
Switzerland
Matteo Garzoli joined Vontobel in March 2022. He is a Quantitative Analyst in the Systematic Multi-Asset team within Quantitative Investments and focuses on systematic investment strategies.
Prior to joining Vontobel, from 2017 to 2021, he was a research assistant at the Institute of Finance of the Università della Svizzera italiana. His research focused mainly on the impact of higher moments on stock returns, and on forecasting real estate indices.
Matteo holds a PhD in Finance from the Swiss Finance Institute and the Università della Svizzera italiana, a Master’s degree in Finance from Imperial College London, and a Master’s degree in Management, Technology and Economics. Additionally, he holds a Bachelor’s degree in Mechanical Engineering from the Swiss Federal Institute of Technology (ETH) Zurich.