Alberto Covin is currently responsible for Group Financial Market Infrastructure Strategy in the resolution framework of UniCredit and on FX-related hedging activities on Group capital ratios, revenues and dividends volatility. He also currently serves as Chair of the EFTERM Oversight Committee, in association with the European Money Markets Institute.
Mr. Covin joined UniCredit in 1999, and since 2021 he is responsible for Group Financial Market Infrastructure Strategy within the wider Resolution framework and operates the FX-related hedging activities on the Group capital ratios, revenues and dividends volatility.
Mr. Covin’s previous roles at UniCredit were in Group Balance Sheet Management at Group Finance and in Short-term Funding and Interest Rate Management at Group Treasury. He also worked as a Global Advisor at UniCredit Private Banking and as a derivatives structurer at UniCredit Banca Mobiliare. Prior to joining UniCredit, Mr. Covin worked for five years as a Portfolio Manager.
Mr. Covin holds a Master of Science in Statistics, Economy and Finance from University of Padua.