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Attilio Meucci

Faculty Photo
Attilio Meucci
Adjunct Professor
318 S. W. Mudd Building
500 W. 120th Street
New York, New York 10027

Phone: +1 212-854-2987
Email:


Attilio Meucci is a vice president at Lehman Brothers, where he designs models for quantitative portfolio management.

Before joining Lehman, Attilio Meucci was a trader of equities and fixed-income securities at Relative Value International, a hedge fund in Greenwich, CT. Previously he was at Bain & Co., where he designed solutions for risk management, portfolio insurance, tactical and strategic asset allocation.

Attilio Meucci is the author of Risk and Asset Allocation and several other publications. He has taught graduate courses on quantitative portfolio management and risk management in top schools worldwide and he is frequently invited as a speaker to conferences, financial institutions and universities.

Attilio Meucci holds a BA summa cum laude in Physics from the University of Milan, a MA in Economics from Bocconi University, a PhD in Mathematics from the University of Milan and he is CFA chartholder.

Attilio is fluent in six languages and loves physical activity in the outdoors.