Fabrizio Biondo

More than 20 years of experience in Fixed Income with a strong specialisation in credit and fundamental analysis of the debt structure of sovereign and corporate issuers.
After an experience in proprietary trading desk managing bonds issued in emerging markets, Fabrizio entered the Asset Management sector and since 2007 he has been managing both traditional and alternative long/short credit strategies.
In-depth knowledge of the European High Yield, Nordic High Yield and Global Emerging Markets bond markets are the key skills that he brings to his portfolio management.

Fabrizio has been a CFA certified manager since 2003

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