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MATTEO MERONI

The approach

Matteo Meroni has more than 25 years of experience in financial markets, with a particular focus on fixed income credits and "govies".

Short bio

After accumulating more than 25 years of experience in the financial markets, with a particular focus in the corporate and government bonds field. From 2010 to 2018, Matteo was the Head of the Financial Institutional Sales team in MPS Capital Services, entertaining relations with European institutional customers for cash and derivatives-related activities. From 2004 to 2010, he worked at BBVA as Senior Fixed Income and Derivatives Sales, developing the business also through "tailor-made" solutions for Italian institutional customers. Previously, he had a long experience in Banca IMI, from 1992 to 2004 as Fixed Income Sales and Relationship Manager, where he started his career following the Degree in Economics and Commerce at the University

Since July 2018, Matteo is the Portfolio Manager of the Zest Dynamic Opportunities Fund

Email: meroni@zest-management.com

 

Region/Geography
Europe
95%
Americas
5%
Asia
0%
Asset Class/Instrument
Equity
5%
Bond
85%
Derivatives
10%
Style
FUNDAMENTAL Bottom Up
50%
QUANT
0%
MACRO Top Down
50%
Systematic
0%

The data shown here do not indicate the current asset allocation but correspond to the manager's sentiment