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PhD in Economics and Quantitative Methods
University of Genoa

Giacomo Gaggero

I have a Ph.D. in Economics and Quantitative Methods. My interest in financial markets has led me to explore crucial areas of finance such as risk management, forecasting, and asset allocation: fields in which I have conducted research based on the rigorous use of quantitative methods. However, I always keep in mind that, no matter how sophisticated our mathematics may be, finance is not a pure science, and the obtained results should not be viewed as deterministic, but rather as one of the possible outcomes of a stochastic process.

Look at my personal view on the markets Macro indicators, the Treasury yield curve, relative strength across hundreds of ETFs, a modified Fear & Greed score and market breadth. Read it now Ask my assistant where to invest today It knows the current state of the market. Start chatting