Profilo
Marco Piacentini is Head of Asset & Insurance Management at Fideuram Intesa Sanpaolo Private Banking SpA since 2025.
Formerly, Mr. Piacentini was Head of Retail Management at Fideuram Asset Management SGR SpA from 2003 to 2021.
Posizioni attive di Marco Piacentini
| Società | Posizione | Inizio |
|---|---|---|
Fideuram - Intesa Sanpaolo Private Banking SpA
Fideuram - Intesa Sanpaolo Private Banking SpA Investment ManagersFinance Profile Unavailable. | Head-Equity Investments | 01/07/2025 |
Precedenti posizioni note di Marco Piacentini
| Società | Posizione | Fine |
|---|---|---|
Fideuram Asset Management SGR SpA
Fideuram Asset Management SGR SpA Investment ManagersFinance Fideuram AM is an active, quantitative manager that selects investments by looking at risks and opportunities from two standpoints: top-down to determine asset allocation, and bottom-up approach to stock selection. The firm employs a risk management and control system, carried out by an independent group, to measure all risks to which the portfolio is exposed, ensuring that the risk evolves as expected in terms of volatility and performance and that risk is taken only to the agreed extent. They weight and manage risks and opportunities with quantitative methods based on econometric and statistical models. | Head-Equity Investments | - |
Esperienze
Posizioni ricoperte
Attive
Inattive
Società nel listino
Aziende private
Relazioni
Relazioni di 1° grado
Aziende connesse in 1º grado
Uomo
Donna
Amministratori
Dirigenti
Società collegate
| Aziende private | 2 |
|---|---|
Fideuram - Intesa Sanpaolo Private Banking SpA
Fideuram - Intesa Sanpaolo Private Banking SpA Investment ManagersFinance Profile Unavailable. | Finance |
Fideuram Asset Management SGR SpA
Fideuram Asset Management SGR SpA Investment ManagersFinance Fideuram AM is an active, quantitative manager that selects investments by looking at risks and opportunities from two standpoints: top-down to determine asset allocation, and bottom-up approach to stock selection. The firm employs a risk management and control system, carried out by an independent group, to measure all risks to which the portfolio is exposed, ensuring that the risk evolves as expected in terms of volatility and performance and that risk is taken only to the agreed extent. They weight and manage risks and opportunities with quantitative methods based on econometric and statistical models. | Finance |
















