MrOrange

Italia·Iscritto a gen 2024·Pubblico
Active management with a Hybrid Value-Growth approach. Factor exposure focused on Quality (Tech/Semicon) and Yield (Banking/Retail), with tactical positioning in Disruptive Small-Caps (Nuclear). Global asset allocation with a focus on Asian markets (Sogo Shosha, China Tech), decorrelated via Physical Commodities and Emerging Market Fixed Income.