Giampaolo Colloridi
Portfolio Manager
Giampaolo operates as a Portfolio Manager within the Third-Party Asset Management division, where he oversees several Collective Investment Schemes. He graduated in Economics with an award-winning thesis specialised in the Technical Securities Market.
With an extensive career spanning banking and insurance, Giampaolo has held senior leadership roles at prestigious institutions including BNL (Benetton Group), Allianz, and Banca Intesa. His expertise in these sectors is dual-faceted, having served as both Head of Portfolio Management and Head of Research. Furthermore, he has frequently shared his expertise by conducting specialised training seminars for professionals within the banking sector.
In recent years, Giampaolo has acted as a freelance consultant for both institutional and private investors across the UK (B&C Derivatives, MAN Financial) and Italy. A seasoned financial communicator, he has collaborated with several Italian newspapers and contributed daily financial articles to a leading national publication.
Giampaolo specialises in asset allocation efficiency techniques as well as individual stock picking, focusing on optimising portfolio performance through rigorous research and technical analysis.