Mr. Maggioni has been working in the financial markets for the last 20 years covering different roles and working in tier one consulting companies and banks worldwide.
In recent years his studies have been focused on the psycho-emotional aspects of trading and how those aspects have an impact on traders’ behavior and thus performances.

Currently he is senior global strategist for a maltese-based asset management firm. In 2024 he was awarded best portfolio manager in the flexible category.

Prior he was head of a hedge fund desk at HSBC Private Bank in Monaco and before that he was employed at Credit Suisse Asset Management (CSAM) in Zurich covering the in-house single manager hedge funds.

Most of his experience in hedge funds was gained while working in a Swiss family office where he was in charge of the research and analysis as well as due diligence for US and European hedge funds. He also performed quantitative analysis and portfolio construction for several funds advised by the family office.

Prior to that he worked as an external consultant for KPMG Financial Services in the Milan office. In 2002 he has been hired by Ernst & Young LLP, San Francisco as an auditor for hedge funds, auditing large single funds and fund of funds.

In 2000 he joined Ernst & Young in Milan as an auditor for international companies.

Mr. Maggioni is a Certified SIAT Technical Analyst (CSTA) and holds an MBA from IUM, Principality of Monaco and a Portfolio Management Degree from the University of Chicago GSB (now Booth School of Business).

https://www.linkedin.com/in/francescomaggioni/?originalSubdomain=it