Profil
Marco Morello currently works at Eurizon Capital SGR SpA, as Portfolio Manager from 2011.
Mr. Morello also formerly worked at Capitalia Asset Management SGR SpA, as Head of Trading & Execution from 2003 to 2008 and Capitalia Investimenti Alternativi SGR SpA, as Head of Proprietary Trading from 2000 to 2003.
Mr. Morello received his undergraduate degree in 1992 from the University of Bocconi.
Postes actifs de Marco Morello
| Sociétés | Poste | Début |
|---|---|---|
Eurizon Capital SGR SpA
Eurizon Capital SGR SpA Investment ManagersFinance Eurizon Capital’s wide range of products for retail and institutional clients are differentiated by management philosophy, style and risk/return profile, based on the following strategies: multi-asset, multi-style and multi-product, active market, and structured and managed according to quantitative methodologies. The firm’s macroeconomic and cyclical analysis models are the basis of their investment perspective and fundamental top-down, medium-term tactical decisions (asset, country and asset allocation). | Gestionnaire de Portefeuille-Actions | 01/12/2011 |
Anciens postes connus de Marco Morello
| Sociétés | Poste | Fin |
|---|---|---|
Capitalia Asset Management SGR SpA
Capitalia Asset Management SGR SpA Investment Banks/BrokersFinance Provides financial services | Trading-Equity | 01/06/2008 |
Capitalia Investimenti Alternativi SGR SpA | Corporate Officer/Principal | 01/05/2003 |
Formation de Marco Morello
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
Administrateurs
Exécutifs
Sociétés liées
| Entreprise privées | 4 |
|---|---|
Capitalia Asset Management SGR SpA
Capitalia Asset Management SGR SpA Investment Banks/BrokersFinance Provides financial services | Finance |
Eurizon Capital SGR SpA
Eurizon Capital SGR SpA Investment ManagersFinance Eurizon Capital’s wide range of products for retail and institutional clients are differentiated by management philosophy, style and risk/return profile, based on the following strategies: multi-asset, multi-style and multi-product, active market, and structured and managed according to quantitative methodologies. The firm’s macroeconomic and cyclical analysis models are the basis of their investment perspective and fundamental top-down, medium-term tactical decisions (asset, country and asset allocation). | Finance |
Capitalia Investimenti Alternativi SGR SpA | Finance |
University of Bocconi
University of Bocconi Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
















