Mario Baronci

Head of Investment Solutions at Quaestio Capital Management SGR SpA

Mario Baronci

Mario Baronci

Head of Investment Solutions at Quaestio Capital Management SGR SpA

Overview
RelSci Relationships

54

Relationships
RelSci Relationships are individuals Mario Baronci likely has professional access to. A relationship does not necessarily indicate a personal connection.

Chief Executive Officer at Quaestio Capital Management SGR SpA

Relationship likelihood: Strong

Chief Executive Officer at Quaestio Capital Management SGR SpA

Relationship likelihood: Strong

General Manager at Quaestio Holding SA

Relationship likelihood: Strong

Head of Risk Management at Quaestio Capital Management SGR SpA

Relationship likelihood: Strong

Head of Sales & Marketing at Quaestio Capital Management SGR SpA

Relationship likelihood: Strong

Head of Company Administration & Accounting at Quaestio Capital Management SGR SpA

Relationship likelihood: Strong

Head of Fixed Income & Credit & Senior Portfolio Manager at Quaestio Capital Management SGR SpA

Relationship likelihood: Strong

Head of Execution at Quaestio Capital Management SGR SpA

Relationship likelihood: Strong

Head of Open-Ended Funds Investments & Head of Equities, Senior Portfolio Manager at Quaestio Capital Management SGR SpA

Relationship likelihood: Strong

President, Board of Directors at Quaestio Capital Management SGR SpA

Relationship likelihood: Average

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Mario Baronci
Head of Investment Solutions at Quaestio Capital Management SGR SpA
Career History
Head of Investment Solutions
Current

Quaestio Capital is an active manager which applies a risk-based investment decision process based on the identification and the ex-ante valuation of potential sources of financial risks including economic, financial and political factors; markets; geographic regions; common characteristics of certain security types or asset classes that may have a noticeable impact on the value of the portfolio. They employ various proprietary models to assess risk and prudently apply a multi-manager and multi-strategy approach in order to reduce the risk of exposure to a specific investment methodology. The firm applies a manager selection process that is coherent with their risk-based investment process, seeking to identify investment managers with a focused approach and proven skills in the management of specific asset classes and/or risks. They identify potential managers through a quantitative and qualitative screening process, meeting with them to see if they have experience in the management of UCITS funds, a successful track record and a solid business setup.

Head of Fixed Income & Absolute Return
2003 - Prior

Sella Gestioni is an active, value-based manager which focuses on investments in European and emerging market equity and fixed-income.The firm's strategic asset allocation process is based on a top-down approach which analyzes macroeconomic variables such as economic cycle, fiscal and monetary policy and exchange rates. Once they allocate assets, they follow a bottom-up approach to select stock based on fundamental research including analysis of strategy, performance and management quality.Sella Gestioni manages portfolios composed of core and swing portions. The core component replicates a benchmark and respects the portfolio's risk/return profile and is selected using a quantitative model. The swing components represent a small percentage of portfolios and are expected to over-perform.

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