Mario Baronci

Mario Baronci

Portfolio Manager-Aktien bei
FIL Investment Advisors (UK) Ltd.

Profil

Mr. Mario Baronci is a Portfolio Manager at FIL Investment Advisors (UK) Ltd. Mr. Baronci was previously employed as a Head of Multi Asset Multi Manager Strategies by Quaestio Capital Management SGR SpA and a Head of Fixed Income & Absolute Return by Sella SGR SpA. Also, he was involved in the market making and proprietary trading of financial derivatives portfolios in Manufacturers Hanover Trust, Chemical Bank, Imi Banque Luxembourg, Banca Imi, and in the Private Banking branch of a Swiss company.
He holds a degree in Economics with honors from Bocconi University in Milan as well as a Master's in Risk and Investment Management from Edhec Business School.
He is also a CAIA Charterholder.

Aktive Positionen von Mario Baronci

UnternehmenPositionBeginn
Portfolio Manager-Aktien 01.10.2023

Ehemalige bekannte Positionen von Mario Baronci

UnternehmenPositionEnde
Head-Fixed Income Invts -
Head-Fixed Income Invts -
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Besetzte Positionen

Aktive

Inaktive

Börsennotierte Unternehmen

Private Unternehmen

Beziehungen

51

Beziehungen ersten Grades

3

Unternehmen ersten Grades

Herr

Frau

Aufsichtsräte

Führungskräfte

Unternehmensverbindungen

Private Unternehmen3

Finance

Finance

Finance

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  3. Mario Baronci