Partner, Fund Manager
Fund Manager with extensive experience in quant theory and portfolio modelling, as well as in performance optimization through multi manager approach. Graduated at Bocconi University, since 1993 he is member and lecturer of the Italian Association of Financial Analysts. He published several articles among which “Active Portfolio Management: the fundamental quant approach”; “Expert systems for portfolio construction”. Since 1989 at Banca Commerciale Italiana (BCI) in the portfolio management team. Since 1998 Chief Strategist at Comit Asset Management and Nextra Investment Management (194 bn Euro AUM). Since 2006 at Eurizon Investimenti as Head of Manager Selection and member of the Investment Committee. In 2008 Massimiliano joins Anthilia as Partner and Anthilia Grey Fund Manager.