Asset Management

Valeri Riccardo

Portfolio Manager

over 5 years of experience

With Kairos since 2015, he manages the following product:

  • Kairos International Sicav – ActivESG

In September 2014 he began his professional career as an analyst at the Oyster Market Neutral Hedge Fund of Banque SYZ in Lugano and in May 2015 joined the Kairos Group as a joint manager at the European Equity Desk. In 2019 he became Portfolio manager of Kairos’ first ESG product.

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

Graduate in Finance and International Markets from Università Cattolica del Sacro Cuore, Milan.

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