Michele Mazzoleni, a partner and member of the Multi-Asset Strategies team, is responsible for the development of systematic investment strategies across liquid derivatives. He also regularly writes about capital markets, monetary policy, and economic trends. His current research focus is on factor timing and innovative portfolio designs. Michele is a member of the firm's Investment Committee.
Michele earned a BA in economics from the University of Lugano in Switzerland, an MS in economics from the London School of Economics, and a PhD in economics from Johns Hopkins University. Before starting his graduate studies, he worked in the Foreign Exchange division of UBS in Lugano, Switzerland.