Profile
Mr. Ugo Lancioni is a Senior Portfolio Manager & Managing Director at Neuberger Berman Europe Ltd. He is a Senior Fixed Income Portfolio Manager on Global Investment Grade and Multi-Sector Fixed Income strategies.
He also sits on the Asset Allocation Committee, focusing on macroeconomics, currencies and fixed income dynamics.
In his current role, he combines portfolio management expertise with client engagement and contributes to strategic planning for fixed income in Europe alongside senior leaders.
During his tenure at Neuberger Berman, he built and led the firm’s currency management business for 18 years.
He has 31 years of investment experience.
Before joining the firm, he spent 11 years at JP Morgan, where he served as a Currency Strategist and Portfolio Manager, overseeing FX risk in Fixed Income Portfolios.
Earlier, he worked as a derivatives market maker and rates trader in JP Morgan London’s STIRT group.
He holds a Master’s in Economics from the University “La Sapienza” in Rome.
Ugo Lancioni active positions
| Companies | Position | Start |
|---|---|---|
Neuberger Berman Europe Ltd.
Neuberger Berman Europe Ltd. Investment ManagersFinance NB Europe is an active, long-term manager which fosters an investment culture of fundamental research and independent thinking. They have no house view and promote an investment culture built on active, risk-disciplined strategies. Their investment focus is global, with a focus on the US, Europe and emerging markets. The firm conducts in-house fundamental analysis with bottom-up and top-down approaches to make investments. Their investment approach is based on a disciplined, risk-focused process. | Head-Fixed Income Invts | 01/11/2007 |
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| Private companies | 1 |
|---|---|
Neuberger Berman Europe Ltd.
Neuberger Berman Europe Ltd. Investment ManagersFinance NB Europe is an active, long-term manager which fosters an investment culture of fundamental research and independent thinking. They have no house view and promote an investment culture built on active, risk-disciplined strategies. Their investment focus is global, with a focus on the US, Europe and emerging markets. The firm conducts in-house fundamental analysis with bottom-up and top-down approaches to make investments. Their investment approach is based on a disciplined, risk-focused process. | Finance |
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