
Marco Rossin is an experienced professional with 18.7 years of work experience in asset allocation, alternative investments, hedge funds, risk management, and portfolio management. He holds a Master's degree in Risk Management & Control from ISTUD and a degree in Economics from Universita Commerciale Luigi Bocconi. Marco has a strong background in financial markets, asset management, derivatives, and corporate finance. He has held various positions in reputable companies such as BPER Banca, Euromobiliare Advisory SIM, and Credem Banca. Marco's expertise lies in asset allocation and diversification, with a focus on generating wealth in efficient portfolios.

Directorial - Commercialpianeous
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