Profil
Mr. Leonardo Spangaro is a Senior Portfolio Manager at Holinger Asset Management AG.
He joined the firm in 2024.
Mr. Spangaro began his career in 2005 with a commercial apprenticeship at Zürcher Kantonalbank followed by a trainee program in the corporate customer sector.
In 2011, he moved to the investment world, spending four years in Investment Advisory, where he studied part-time and ultimately served as an Investment Specialist for affluent private clients.
In 2015, Mr. Spangaro joined Fisch Asset Management, an asset manager in Zurich with a focus on convertible bonds.
Over the following eight years, he rose to Senior Portfolio Manager and Deputy Team Leader and was responsible for various mutual funds.
He also managed numerous direct mandates from institutional investors in the DACH region.
Mr. Spangaro holds a Bachelor's degree in Banking & Finance from the Zurich University of Applied Sciences and studied at Cass Business School in London.
He is also a CFA, CAIA and CFA ESG charterholder.
Postes actifs de Leonardo Spangaro
| Sociétés | Poste | Début |
|---|---|---|
Holinger Asset Management AG
Holinger Asset Management AG Investment ManagersFinance H.A.M.’s active approach to advising globally diversified convertible bonds is driven by their belief that risk adjusted out-performance is achievable via superior systematic information processing and consistent portfolio construction. | Gestionnaire de Portefeuille-Actions | 01/01/2024 |
Anciens postes connus de Leonardo Spangaro
| Sociétés | Poste | Fin |
|---|---|---|
Fisch Asset Management AG
Fisch Asset Management AG Investment ManagersFinance Fisch is an active, team-based knowledge-intensive manager which specializes in convertible bonds and fundamental and quantitative credit research. They follow a momentum approach in equity research, allowing them to exploit opportunities on short notice and aim for asymmetric price behavior in their products. The firm utilizes proprietary software for macro and securities research models, trend-spotting, scenario analysis and risk management. They construct portfolios based on top-down macroeconomic factors (equity exposure, duration, credit spreads, regions/sectors) and bottom-up managed securities selection. | Portfolio Manager-Fixed Income | 01/12/2023 |
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Sociétés liées
| Entreprise privées | 2 |
|---|---|
Fisch Asset Management AG
Fisch Asset Management AG Investment ManagersFinance Fisch is an active, team-based knowledge-intensive manager which specializes in convertible bonds and fundamental and quantitative credit research. They follow a momentum approach in equity research, allowing them to exploit opportunities on short notice and aim for asymmetric price behavior in their products. The firm utilizes proprietary software for macro and securities research models, trend-spotting, scenario analysis and risk management. They construct portfolios based on top-down macroeconomic factors (equity exposure, duration, credit spreads, regions/sectors) and bottom-up managed securities selection. | Finance |
Holinger Asset Management AG
Holinger Asset Management AG Investment ManagersFinance H.A.M.’s active approach to advising globally diversified convertible bonds is driven by their belief that risk adjusted out-performance is achievable via superior systematic information processing and consistent portfolio construction. | Finance |
















