
Andrea Rizzi
I graduated in Economics and Business Management from the Catholic University of Milan. During my studies, I focused on macroeconomics, econometrics, statistics, and international finance , disciplines that have shaped my academic career and guided my professional passions.
I have developed two research theses: the first on Value at Risk (VAR) as a tool for measuring financial risk, the second on a State's Current Account , with an analysis of its macroeconomic implications.
To improve my academic and professional English, I attended Saint George International School of London .
From a professional perspective, I have been working in Management Control for 7 years : I started in the real estate sector and today I work in an electromechanical company, dealing with economic and financial analysis and decision-making support for management.
At the same time, I've been cultivating my passion for financial markets for over 10 years . I started with passively managed funds and, in recent years, I've dedicated myself to active trading, developing an approach based on economic fundamentals. To guide my investment decisions, I've also developed a personal algorithm that I use to be more precise in identifying values and percentages of market growth or decline.
In addition to writing articles on international finance, I offer independent financial market consulting . My approach is distinguished by complete independence from banks or other institutions, the use of objective and transparent analysis, and the use of a proprietary algorithm that I constantly test and improve to ensure its reliability.
My consultations are aimed at both active investors and savers who want to better understand the markets and make more informed investment decisions.