Fabio Faltoni

CFA Multi-Asset & Macro Investment director

Joined Aviva Investors in 2016

Main responsibilities

Fabio is an Investment Director focusing on our Multi-strategy capabilities. In his role, he works closely with our portfolio managers to articulate their investment process, portfolio positioning and investment performance to clients and consultants around the world. He is based in London.

Experience and qualifications

Fabio joined Aviva Investors in August 2016 after having previously spent 2 years at ICAP plc in institutional sales focusing on credit default swaps. Fabio holds a BSc in International Economics, Management and Finance from Bocconi University as well as an MSc in Finance from Grenoble Graduate School of Business. He is also a CFA Charter Holder.