mangustaRisk:
the people behind
the capitals.

mangusta

change becomes a risk only if you don’t face it.

We are an Italian-English company. We deal with risk management, strategic and tactical asset allocation, asset-liability management, evaluation and selection of traditional and alternative managers, performance analysis, and training. In over twenty years, we have consolidated our experience in the field of financial consulting and today we are at the forefront in the monitoring and selection of illiquid investments and Private Markets such as Real Estate, Private Equity Private Debt, Loans, Infrastructures.

MangustaRisk borns in 2000

We are an independent company, which does not participate and is not owned by Banks or other “issuers and intermediaries”, either directly or indirectly, on behalf of or through third parties.

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Our company is supervised by the Bank of Italy and regulated by CONSOB in the register of “Third Country Companies Authorized In Italy With Branch” with authorization No. 1. Since 2008 MangustaRisk Ltd. is authorized and regulated by the Financial Conduct Authority, to carry out the “investment advisor and arranger” activities.

We have obtained the European passport to operate in 27 European countries, and adhered to the United Nations Sustainable Investment Principles (UNPRI) and we comply with the provisions of Regulation (EU) 2019/2088.

Our team is made up of over 20 specialized Risk Managers who work full-time and exclusively for our company, with the sole exception of periodic participation in academic activities. The entire group deals exclusively with the monitoring, measurement, and management of actuarial, financial, and operational risks as well as the monitoring of complex pension savings management models for asset owners.

i partners

MangustaRisk Partners combine academic experience with twenty years of experience in the most established financial institutions and international investment banks.

Davide Cipparone

Andrea Canavesio

Lara Pederzolli

Davide Cipparone

He was Director of the Generali Group and followed the analysis and structuring of the Open Pension Fund of the INA Group Individual Pension Funds, and Risk Manager of Banco di Napoli. Researcher at the Department of Statistics, Probability, and Applied Statistics of the Sapienza University of Rome. He has a Ph.D. in “Operations Research and Decision-making Strategies” at the School of Specialization in Operations Research and Decision-making Strategies and a Degree in Statistical and Economic Sciences at Sapienza.

Andrea Canavesio

Master in Corporate Finance at SDA Bocconi school of management, Training program at Lehman Brothers, and a degree in Economics and Commerce from Sapienza in Rome. As Director Lehman Brothers he was responsible for the Italian Institutional Investors desks such as Capitalia, Unicredit, Nextra, Pioneer, UIC; listed derivatives (futures and options); OTC derivatives (swaps, options, and CDS).

Lara Pederzolli

She was trained first with honors at the Sapienza University of Rome, then in Perugia in the inter-university mathematics school, and finally with a post-graduate course at the Normale di Pisa. She was a Meliorbanca hedge fund manager, Lazard Brothers Market Risk Manager, and Credit Risk Analyst for the European Bank for Reconstruction and Development.

Davide Cipparone

He was Director of the Generali Group and followed the analysis and structuring of the Open Pension Fund of the INA Group Individual Pension Funds, and Risk Manager of Banco di Napoli. Researcher at the Department of Statistics, Probability, and Applied Statistics of the Sapienza University of Rome. He has a Ph.D. in “Operations Research and Decision-making Strategies” at the School of Specialization in Operations Research and Decision-making Strategies and a Degree in Statistical and Economic Sciences at Sapienza.

Andrea Canavesio

Master in Corporate Finance at SDA Bocconi school of management, Training program at Lehman Brothers, and a degree in Economics and Commerce from Sapienza in Rome. As Director Lehman Brothers he was responsible for the Italian Institutional Investors desks such as Capitalia, Unicredit, Nextra, Pioneer, UIC; listed derivatives (futures and options); OTC derivatives (swaps, options, and CDS).

Lara Pederzolli

She was trained first with honors at the Sapienza University of Rome, then in Perugia in the inter-university mathematics school, and finally with a post-graduate course at the Normale di Pisa. She was a Meliorbanca hedge fund manager, Lazard Brothers Market Risk Manager, and Credit Risk Analyst for the European Bank for Reconstruction and Development.