Profil
Mr. Flavio Quaggio is a Chief Executive Officer at Banca Zarattini & Co. SA. He has been the CEO since 2002, and is Head of Financial Markets.
He is a member of the Board of Directors of St. Martin Holding Ltd.
He worked for a long time as a senior manager and was a member of the Board of Directors of Martin Group Ltd, a hedge fund based in the British Virgin Islands.
Besides being a senior manager at Martin Group Ltd, he was Head of the Research department and Trading Room from 1993 to 2001.
Before that, and after obtaining a diploma from the Technical Institute of Padua, he spent several years working in the commerce sector.
He was also founder and editorial director of the technical and financial weekly publication, Radiografia di Borsa.
Aktiva positioner av Flavio Quaggio
| Företag | Position | Start |
|---|---|---|
Banca Zarattini & Co. SA
Banca Zarattini & Co. SA Investment ManagersFinance BZ is an active investor and specializes in both traditional and alternative asset management. They manage portfolios invested across asset classes, primarily equity, fixed-income and derivatives, and across geographical borders with a primary focus on Italian and European securities. At the core of the firm's investment strategy is a market neutral strategy with a view to neutralize market volatility and to achieve total return and steady capital growth with a mid-term outlook. BZ's investment process is divided in two main steps: asset allocation and portfolio management. The asset allocation is adapted to each portfolio's risk/return requirements. | Verkställande Direktör | 2002-01-01 |
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| Privata företag | 1 |
|---|---|
Banca Zarattini & Co. SA
Banca Zarattini & Co. SA Investment ManagersFinance BZ is an active investor and specializes in both traditional and alternative asset management. They manage portfolios invested across asset classes, primarily equity, fixed-income and derivatives, and across geographical borders with a primary focus on Italian and European securities. At the core of the firm's investment strategy is a market neutral strategy with a view to neutralize market volatility and to achieve total return and steady capital growth with a mid-term outlook. BZ's investment process is divided in two main steps: asset allocation and portfolio management. The asset allocation is adapted to each portfolio's risk/return requirements. | Finance |
















