Paolo Maggioni

Paolo Maggioni

Portfolio/Asset Manager NS Broker


Portfolio Manager with 20 years asset management experience in equity, fixed income and alternative strategies. Formulate fund investment strategies & construct portfolios, monitor & review fund performance, implement asset allocation strategy & ensure realisation of defined performance targets. Contribute to overall investment policy decisions and present investment results to asset allocation committee. May also be involved in client marketing activities. Guides others in resolving issues in specialised area and serves as best practice/quality resource or as a technical expert. Trains & mentors junior staff.