Giovanni di Martino
Senior Portfolio Manager for Multiasset Team @Eurizon
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WORK HISTORY
Senior Portfolio Manager for Multiasset Team @Eurizon
Milano, IT
I’m currently part of Eurizon Capital SGR’s Multiasset Team, where I focus on the management of flexible allocation funds across different risk profiles.I manage Eurizon Strategic Allocation (4-star Morningstar rating), the Eurizon Private Allocation range (three risk lines, all Morningstar-high-rated), and Eurizon Obiettivo Valore, a cash-enhanced fund designed to provide stability and performance in varying market conditions.Within the Multiasset team, which oversees around €18 billion in total assets, I directly manage approximately €2 billion.My investment approach combines macro analysis, asset allocation, technical analysis and risk management, with a strong focus on ETF, stock and bond picking (including credit strategies), currencies, and the use of derivatives and option structures to enhance risk-return profiles.I also actively leverage sector and geographical allocation as key drivers of performance and diversification.
EDUCATION
Luiss Guido Carli University
Bachelor's degree, Markets and financial intermediaries
New York University
Advanced Risk and Portfolio Management (ARPM)
Luiss Guido Carli University
Master's degree, Markets and Quantitative Finance
SKILLS
ABOUT GIOVANNI DI MARTINO
A motivated person, passionate and precise, with quantitative background and +10yrs experience inportfolio management and asset allocation. Hard working, detail oriented, with a focus on achieving results efficiently and effectively
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