a cutting-edge investment firm.

Vantage Asset Management specializes in managing wealth across a wide range of asset classes.

Using proprietary models, the fund employs a data-driven, quantitative approach to investing that seeks to generate superior returns while managing risk.

The fund’s investment strategy is built on a foundation of rigorous analysis and modeling that helps its team of experienced investment professionals to make the right choices across a variety of asset classes, including equities, fixed income/floating rate bonds and derivatives.

 

A step towards advanced investors

Why we chose the RAIF vehicle to collaborate with Professional Investors

1

TAILORING

RAIFs are flexible investment vehicles that are set up as umbrella funds with multiple sub-funds: this allows investors to choose the investment strategy that best suits their needs.

2

OPPORTUNITIES

RAIFs can invest in a wide range of assets, including real estate, private equity and hedge funds. This allows portfolios to be diversified and investors to spread their risk.

3

REGULATORY ENVIROMENT

Luxembourg is one of the most secure and attractive fund centres in the world, with a stable rated AAA economy and a well-regulated financial environment. It is considered a prime location for alternative investment funds.

4

EFFICIENCY

Luxembourg RAIF is appreciated by professional investors as an efficient AIFMD-compliant vehicle, with one of the lowest investor cost structure and one of the fastest time to market. It benefits from compatibility with EU regulations, pass-porting advantages across borders, and greater investment flexibility.

In summary, RAIFs provide an appealing option for those professional investors seeking innovation, adaptability and efficient investment opportunities.

key persons

A group of highly specialized professionals, each at the top of their field.

With extensive experience and deep knowledge of financial markets, they are recognized leaders in fields ranging from investment management to corporate finance, financial consulting to risk management, and much more. They distinguish themselves by their ability to tackle a wide range of challenges in the financial landscape, offering innovative solutions and tailored strategies to meet investor’s needs. Their synergistic collaboration and continuous updating of their skills enable them to remain at the forefront of the industry, adapting promptly to changes and ensuring ongoing excellence. They are committed to delivering high-quality, value-added advice to investors, that lead to success.

Giovanni Giuliani

CEO

Massimo Ponzellini

Non-executive honorary President

Stefano Pellegrino

Senior Advisor

Mattia Scabeni

Investment Advisor

Lorenzo Dolci

Sponsor & Board Member

Matteo Mammì

Board Member

Marco Boidi

Board Member

Pierluigi Gilibert

Board Member

Stefano Pileri

Head of Operations

Paolo Scaravaggi

Head of Investments