Mario Baronci

Mario Baronci

Gestore di Portafoglio-Azioni presso
FIL Investment Advisors (UK) Ltd.

Profilo

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.

Posizioni attive di Mario Baronci

SocietàPosizioneInizio
Gestore di Portafoglio-Azioni 01/10/2023

Precedenti posizioni note di Mario Baronci

SocietàPosizioneFine
Head-Fixed Income Invts -
Head-Fixed Income Invts -
Vedi nel dettaglio l'esperienza di Mario Baronci

Esperienze
Posizioni ricoperte

Attive

Inattive

Società nel listino

Aziende private

Relazioni

51

Relazioni di 1° grado

3

Aziende connesse in 1º grado

Uomo

Donna

Amministratori

Dirigenti

Società collegate

Aziende private3

Finance

Finance

Finance

  1. Mercati
  2. Insiders
  3. Mario Baronci