Mario NargiAssociate Partner at McKinsey & CompanySpeaker
Profile
Mario is an Associate Partner in the Milan Office, and a core member of our Risk & Resilience practice, supporting European banks and Insurance players in transformations across the full spectrum of risks to promote a more resilient strategy.
As part of his work in Risk & Resilience, Mario helped financial institutions to optimize Capital, Liquidity and other financial risks, recently leading innovative transformations that leveraged advanced analytics techniques in deposits pricing, interest rate risk, and ALM, to cope with a more volatile macroeconomic environments and rising interest rates.
Education and previous experience
Mario holds a Bachelor in Financial Economics and a Master of Science in Finance from Bocconi University, where he has also been a Researcher in the Department of Finance on Financial Econometrics, investigating the interconnections between monetary policies, real estate and financial markets.
Prior to joining McKinsey, Mario worked as a Researcher in Finance at Bocconi and in leading investment banks and consulting companies, advising financial institutions and large corporates on capital structure, M&A opportunities, and financing.
Agenda Sessions
The battle for deposits: how to compete for stable liquidity?
, 13:05View Session