Profile
Marco di Liberto worked as a Portfolio Manager & Analyst at Eurizon Capital SGR SpA. He also worked as a Senior Portfolio Manager at Baloise Asset Management Schweiz AG from 2005 to 2020.
Former positions of Marco di Liberto
| Companies | Position | End |
|---|---|---|
Baloise Asset Management Schweiz AG
Baloise Asset Management Schweiz AG Investment ManagersFinance BAM is an active, value-oriented, long-term manager which models their investment policy on benchmarks. The firm adapts their investment approach to their clients' profile, occasionally assembling custom portfolio management teams to fulfill specific client requirements including strategic and tactical asset allocation strategies. BAM invests in global fixed-income, equity and alternative investments, focusing on European securities and particularly the Swiss market. Their equity portfolios are invested across market-caps and sectors, favoring large- to mega-cap companies. | Portfolio Manager-Fixed Income | 01/05/2020 |
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). | Analyst-Equity | - |
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 2 |
|---|---|
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 |
Baloise Asset Management Schweiz AG
Baloise Asset Management Schweiz AG Investment ManagersFinance BAM is an active, value-oriented, long-term manager which models their investment policy on benchmarks. The firm adapts their investment approach to their clients' profile, occasionally assembling custom portfolio management teams to fulfill specific client requirements including strategic and tactical asset allocation strategies. BAM invests in global fixed-income, equity and alternative investments, focusing on European securities and particularly the Swiss market. Their equity portfolios are invested across market-caps and sectors, favoring large- to mega-cap companies. | Finance |
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