Profil
Mr. Fabio Pecce is a Chief Investment Officer at Ambienta SGR SpA (London Branch) and a Chief Investment Officer & Partner of Ambienta X at Ambienta Ltd. He joined Ambienta in 2019 and is based in London.
Prior to Ambienta, Mr. Pecce was a Portfolio Manager at Man GLG for five years.
Previously, he co-ran the liquid strategies for the Private Investment Office of the Fredriksen family, and acted as Portfolio Manager for HBK Investments on the equity desk and also led the firm’s European credit strategies.
Mr. Pecce started his career in the Investment Banking division of Salomon Smith Barney/Citi.
He holds a Bachelor’s Degree in Economics (Summa cum laude) from Bocconi University (Milan, Italy).
Postes actifs de Fabio Pecce
| Sociétés | Poste | Début |
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Anciens postes connus de Fabio Pecce
| Sociétés | Poste | Fin |
|---|---|---|
GLG Partners LP
GLG Partners LP Investment ManagersFinance GLG conducts their own analyses and may also use the analyses and certain models of its affiliates as well as third parties. They use many sources of information in their analyses of financial instruments which may be obtained from their affiliates or third parties. In addition, the firm may employ third-party consultants to provide it with fundamental and technical research, including, but not limited to, information regarding various markets, industries and companies. GLG also utilizes a number of investment strategies in connection with its advisory and sub-advisory services depending upon the type and stated investment objectives of each client. | Gestionnaire de Portefeuille-Actions | 01/01/2019 |
HBK Europe Management LLP
HBK Europe Management LLP Investment ManagersFinance HBK Europe may invest through both long and short positions in an unlimited range of securities, derivatives and other financial instruments throughout the world, including, without limitation, equity and equity-related securities, bonds and other fixed income securities, loans and loan participations, MBS/ABS, currencies, commodities, futures, forward contracts, warrants, options, swaps and other derivative instruments. The firm is not subject to any specific restrictions on asset type, industry, geographic market, concentration, and leverage, exposure to market risk or other portfolio characteristics. | Gestionnaire de Portefeuille-Actions | 01/02/2011 |
Ambienta SGR SpA (London Branch)
Ambienta SGR SpA (London Branch) Investment ManagersFinance Functions as an alternative investment manager | Directeur en chef des Investissements | - |
Formation de Fabio Pecce
Expériences
Fonctions occupées
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Inactives
Sociétés cotées
Entreprise privées
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Relations au 1er degré
Entreprises liées au 1er degré
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Sociétés liées
| Entreprise privées | 4 |
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GLG Partners LP
GLG Partners LP Investment ManagersFinance GLG conducts their own analyses and may also use the analyses and certain models of its affiliates as well as third parties. They use many sources of information in their analyses of financial instruments which may be obtained from their affiliates or third parties. In addition, the firm may employ third-party consultants to provide it with fundamental and technical research, including, but not limited to, information regarding various markets, industries and companies. GLG also utilizes a number of investment strategies in connection with its advisory and sub-advisory services depending upon the type and stated investment objectives of each client. | Finance |
University of Bocconi
University of Bocconi Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
HBK Europe Management LLP
HBK Europe Management LLP Investment ManagersFinance HBK Europe may invest through both long and short positions in an unlimited range of securities, derivatives and other financial instruments throughout the world, including, without limitation, equity and equity-related securities, bonds and other fixed income securities, loans and loan participations, MBS/ABS, currencies, commodities, futures, forward contracts, warrants, options, swaps and other derivative instruments. The firm is not subject to any specific restrictions on asset type, industry, geographic market, concentration, and leverage, exposure to market risk or other portfolio characteristics. | Finance |
Ambienta SGR SpA (London Branch)
Ambienta SGR SpA (London Branch) Investment ManagersFinance Functions as an alternative investment manager | Finance |
















