Co-head of Multi Asset and Portfolio Manager OppenheimerFunds
Alessio de Longis, CFA, is
co-head and portfolio manager of the Multi-Asset Team at OppenheimerFunds. 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. Additionally, he manages active currency strategies in multi-asset
portfolios. Prior to joining the multi-asset team, from 2004 to 2013 he was a
member of the Global Debt Team at OppenheimerFunds, where he served as currency
portfolio manager. He is a published author in the field of systematic currency
investing using macro-based strategies. Additionally, he published an Op-ed for
the Wall Street Journal on the Italian and European debt crisis in 2011. He
holds an MSc in Financial Economics and Econometrics from the University of
Essex, UK and an MA in Economics from the University of Rome, Italy. He is a
Check out the incredible speaker line-up to see who will be joining Alessio.
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