Fausto has been working as a fund manager since 1994, focusing mainly on Italian equity investment opportunities. During the course of his professional experience, he also managed flexible investment products with exposure to European debt and equity securities.
Since 2008, Stefano has conceived and successfully launched highly innovative investment products based on a multi-asset investment management style, including corporate hybrid instruments, as well as financial products aimed at generating alpha through exposure to option derivatives.
Gherardo’s career has been exclusively focused on investment management. After having gained multi-year experiences as portfolio manager for HNW investors, since 1991 Gherardo has been managing flexible open-ended mutual funds, focusing primarily on listed global equity, with a preference for advanced economies and a value investment style.
Luca has been working as portfolio manager for over 15 years and he has specialised in global macro fixed income investments, with a strong focus on subordinated credit. He has developed a specific expertise on corporate hybrid securities. Over the course of his career, he has also actively contributed to launching and managing Remimbi-denominated fixed income investment products in the Chinese market.
Dario has been operating on financial markets since 1999. Over the course of his career, he has managed investments encompassing multiple asset classes. He has been in charge of managing both equity and fixed income funds with a global focus. Dario has distinguished himself for his dynamic investment approach, primarily aimed at taking advantage of pricing inefficiencies. In IMPact, Dario is exclusively focused on providing discretionary investment management services for both HNW individuals and institutional investors.
Pierfranco has been working in the asset management industry for over 20 years. He started off his international career as Portfolio Manager and Proprietary Trader. Pierfranco has developed a specific expertise in the creation and management of alternative non-directional investment products, as well as of long-short and low- and medium-volatility total return investment strategies.
Alessandro has held the role of fund manager for over 20 years. His thematic expertise is on listed international equity. During the first part of his career, he has focused geographically on USA markets and technology companies, while repositioning his expertise at a later stage on listed infrastructure companies at the global level.