Stefano Spillo, CFA, FRM, CAIA, Chapter Executive

Investment Risk Manager, Nikko Asset Management
Stefano Spillo

Stefano Spillo is an Investment Risk Manager at Nikko Asset Management, where he analyzes and monitors fund risk and performance. Prior to this role, he worked at IHS Markit as a Valuations Analyst, specializing in the valuation of OTC derivatives.

He holds an MSc in Finance from the London School of Economics and an MBA in Finance from Hitotsubashi University.