Profil
Dr. Marco Aiolfi is a Head of Multi Asset at PGIM Quantitative Solutions LLC.
He spearheads the group’s strategic initiatives and is responsible for portfolio management, research, product development of the multi-asset platform.
Prior to his current role, he was the Head of Systematic Multi-Asset Strategies, overseeing research, development and portfolio management of systematic total and absolute return investment solutions.
Prior to joining PGIM Quantitative Solutions, he was a Lead Portfolio Manager and Researcher for GTAA and volatility strategies for the Quantitative Investment Strategies team at Goldman Sachs Asset Management, and a Principal at Platinum Grove Asset Management.
Previously, he was a research scholar at the University of California, San Diego, and a visiting scholar at the International Monetary Fund.
He earned a BA in economics and a PhD in economics from Bocconi University in Italy.
Postes actifs de Marco Aiolfi
| Sociétés | Poste | Début |
|---|---|---|
PGIM Quantitative Solutions LLC
PGIM Quantitative Solutions LLC Investment ManagersFinance PGIM Quantitative Solutions seeks superior risk-adjusted returns by combining research-driven quantitative processes built on economic and behavioral foundations with judgment from experienced market practitioners. The firm offers a variety of actively and passively managed equity strategies measured against US, non-US, global and custom benchmarks. Dedicated investment management teams use proprietary and non-proprietary computer-based models and tools to generate top-down and bottom-up fundamental and economic signals that guide asset allocation and security selection decisions. | Head-Equity Investments | 01/01/2022 |
Formation de Marco Aiolfi
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| Entreprise privées | 2 |
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PGIM Quantitative Solutions LLC
PGIM Quantitative Solutions LLC Investment ManagersFinance PGIM Quantitative Solutions seeks superior risk-adjusted returns by combining research-driven quantitative processes built on economic and behavioral foundations with judgment from experienced market practitioners. The firm offers a variety of actively and passively managed equity strategies measured against US, non-US, global and custom benchmarks. Dedicated investment management teams use proprietary and non-proprietary computer-based models and tools to generate top-down and bottom-up fundamental and economic signals that guide asset allocation and security selection decisions. | Finance |
University of Bocconi
University of Bocconi Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
















