Carlo Acerbi
Managing Director and Head of Risk Management Research

Carlo Acerbi is a managing director and Head of Risk Management Research. He focuses on risk management, risk regulation and instrument pricing. Previously, Carlo worked as a risk manager and financial engineer for several Italian banks and in McKinsey & Co.’s risk practice. Carlo received a Ph.D. in Theoretical Physics from the International School for Advanced Studies. He has taught advanced derivatives at Bocconi University, and is an Executive Fellow of the Essex Business School.
