Alessio de Longis, CFA, is a portfolio manager for the Global Multi-Asset Group (GMAG) at OppenheimerFunds. Additionally, Mr. de Longis leads the group’s macro strategy, focusing on business cycle dynamics, global macro regimes, and their impact on asset class risks and returns, and manages active currency strategies in GMAG’s funds. From 2004 to 2013, he was a member of the Global Debt Team. He holds a BA and MA in Economics from the University of Rome Tor Vergata, and an MSc in Financial Economics and Econometrics from the University of Essex, UK. He is a published author in the field of macro-based currency investment strategies.
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