Roberto Antonielli

Roberto has over 15 years’ experience in investing. He joined Allianz Global Investors in 1997 as a junior portfolio manager on Italian bond funds, then became assistant portfolio manager in global bond funds. Since 2002 he has been in charge of medium-long term bond funds in the Euro zone. He specializes in the Euro zone countries government bonds and interest rate derivatives. Roberto has been a CFA charter holder since 2002. After graduating with honors in Economics from Pavia University in 1996, he obtained a Master’s degree in Economics and Econometrics from University of Southampton.
Posts written by the author :
- Italian elections 2018; a great yawn? Or a great surprise?, 28 Feb 2018 in General
- This week could see a momentous signal from the ECB, 04 Sep 2017 in General
- Do current TARGET2 liabilities mark the end of the Eurozone, or will they help hold it together?, 21 Feb 2017 in General
- Greece – Back in the spotlight?, 04 Feb 2016 in General