Eurizon Capital’s Di Marcantonio taking part in London Roundtable

Mario Di Marcantonio, senior portfolio manager at Eurizon Capital, will address the role of flexible and multi-asset total return strategies when he takes part in the upcoming Funds Selector Roundtable London.

Di Marcantonio’s views also include explaining the way his fund, the Eurizon EasyFund Flexible Beta Total Return, operates.

As a portfolio manager, Di Marcantonio has a background working on global funds. He became senior portfolio manager in 2008, with responsibility for developing a framework for stockpicking and trading. Specialised in the natural resources and infrastructure sectors, he is currently responsible for the global commodity outlook at Eurizon Capital.

ABOUT THE AUTHOR
Jonathan Boyd
Editorial Director of Open Door Media Publishing Ltd, and Editor of InvestmentEurope. Jonathan has over two decades of media experience in Japan, Australia, Canada and the UK. Over the past 16 years he has been based in London writing about funds and investments . From editing the newsletter of the Swedish Chamber of Commerce in Japan in the 1990s he now focuses on Nordic markets for InvestmentEurope.

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