Asset Management

Midulla Marco

Portfolio Manager

over 5 years of experience

With Kairos since 2015, he manages the following funds:

  • Kairos International Sicav – KEY
  • Kairos International Sicav – ActivESG

Marco started his professional career at Schroders in London and later, in 2015, he joined Kairos as an Analyst on the Investment team, managing special mandates for private clients. At Kairos, Marco has implemented derivative strategies for various Kairos funds, created models and done macro analysis on the asset allocation for the Investment teams.
In 2020, Marco joined the KIS KEY Investment team as an Analyst bringing his expertise on equity derivatives and more specifically following the telecommunications and real estate sectors on a fundamental level. In October of the same year he was appointed joint manager of the Fund.

In May 2022 he obtained the “ESG Analysis & Investing Certificate” in partnership with CFA Society Italy and MIP.

Graduate in Finance from Luiss University in Rome.

Portfolio Managers