Profil
Mr. Edoardo Matarrese is a Partner & Portfolio Manager at Auriga Partners SA (Switzerland).
Before founding Auriga Partners in 2019, Mr. Matarrese was a Portfolio Manager at Compass Asset Management, where he launched and ran several investment vehicles together with Mr. Roberto Condulmari.
He began his value investing career in the Equity Research Team at Kairos Investment Management in London in 2013.
Mr. Matarrese graduated in Economics from Bocconi University in Milan.
Aktive Positionen von Edoardo Matarrese
| Unternehmen | Position | Beginn |
|---|---|---|
Auriga Partners SA (Switzerland)
Auriga Partners SA (Switzerland) Investment ManagersFinance Auriga Partners implements a personalized strategy through: (1) cost efficient exposure to asset classes for the replicable part of the portfolio through the selection of ETFs and index funds and (2) selection of niche products for the non-replicable part of the portfolio. | Gründer | 01.05.2019 |
Ehemalige bekannte Positionen von Edoardo Matarrese
| Unternehmen | Position | Ende |
|---|---|---|
Compass Asset Management SA
Compass Asset Management SA Investment ManagersFinance The Compass investment approach focuses first on bottom-up research to identify good risk/reward positions. Then they will mix them in a portfolio. They then manage the resulting market risk, optimizing weights of the positions and various hedging techniques depending on the risk profile of each sub-fund. Their independent SICAV consists of several sub-funds, both bond and equity, which are all managed with absolute return strategies. Across the bond sub-funds, Compass invests in corporate and government bonds. Depending on the risk/return potential, and to minimize potentially negative market movements, the firm concentrates on niches and special situations. Within their equity funds, they construct portfolios through investments in government and corporate bonds of emerging countries and supranational entities. They also invest primarily in equities listed or issued in the European Union with a bottom-up approach to stock selection and a portfolio risk management carried out with a discretional hedging | Portfolio Manager-Aktien | 01.12.2019 |
Erfahrungen
Besetzte Positionen
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Inaktive
Börsennotierte Unternehmen
Private Unternehmen
Beziehungen
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Herr
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Führungskräfte
Unternehmensverbindungen
| Private Unternehmen | 2 |
|---|---|
Compass Asset Management SA
Compass Asset Management SA Investment ManagersFinance The Compass investment approach focuses first on bottom-up research to identify good risk/reward positions. Then they will mix them in a portfolio. They then manage the resulting market risk, optimizing weights of the positions and various hedging techniques depending on the risk profile of each sub-fund. Their independent SICAV consists of several sub-funds, both bond and equity, which are all managed with absolute return strategies. Across the bond sub-funds, Compass invests in corporate and government bonds. Depending on the risk/return potential, and to minimize potentially negative market movements, the firm concentrates on niches and special situations. Within their equity funds, they construct portfolios through investments in government and corporate bonds of emerging countries and supranational entities. They also invest primarily in equities listed or issued in the European Union with a bottom-up approach to stock selection and a portfolio risk management carried out with a discretional hedging | Finance |
Auriga Partners SA (Switzerland)
Auriga Partners SA (Switzerland) Investment ManagersFinance Auriga Partners implements a personalized strategy through: (1) cost efficient exposure to asset classes for the replicable part of the portfolio through the selection of ETFs and index funds and (2) selection of niche products for the non-replicable part of the portfolio. | Finance |
















