Abalone Asset Management LTD is an European Investment Fund platform and incubator, independently operating in the international financial market, and aiming to conserve and increase capital in the medium / long term, reduce risk and contain volatility. We support our clients in investment decisions with a transparent, rigorous and independent approach and we constantly select the most advantageous and interesting financial products for the investor. Among our investment solutions, we offer UCITS Funds and Alternative Funds.
Carmine gained extensive experience in dealing with issues related to financial services offered through banks, insurance companies, and investment managers. Carmine also has significant experience in wealth planning, real estate investments, securitization vehicles and intellectual property.
Since 2014 he was managing partner of Nord Credit, an Italian company specialized in financial analysis and negotiation with banking institutions. He has over 6 years experience as quantitative professional trader developing mechanical trading strategies. Since 2012 he has acted as director, investment committee member and portfolio manager of a number of funds in Malta.
More than 20 years of experience in Corporate and Investment banking gained in London, Milan, Luxembourg, Singapore and Stockholm. Lorenzo has been appointed to numerous senior risk management roles suche as Industrial Conglomerate Sodrugestvo, BBVA, BOFA, Rabobank, JP Morgan, Jefferies Bache.
Andrea Maria Vittorio Venturini
Andrea started his career in the real estate sector as a private property manager, later he became Financial Controller in a certification body for public contractors. Once graduated at the Bocconi University, he got the Ph.D. in Statistics and Applied Mathematics to Economics and a Second Level Master in Finance at the University of Turin.
Domenico Paolo Pagano
Domenico is currently compliance officer and money laundering reporting officer for a Maltese category 2 licensed entity and for a Maltese Company Services Provider. Previously he worked for more than two years as senior in the compliance officer department of a well-established and well reputed Maltese Company Services Provider firm.
With nearly 40 years of experience within capital markets, Giuseppe's trading structure runs mainly through arbitraged hedged-option equity volatility positionig among the time curve,call warrant or option-hedged portfolio on single names, event driven, special situation (capital issue, convertible arbitrage)
Stefano started his career in Mercer as Investment Analyst. Thereafter he joined Abalone Asset Management as Risk Analyst. Stefano holds a Second Level Master in Finance from Collegio Carlo Alberto and a Master’s degree (Hons) in Finance from the University La Sapienza of Rome.
Abalone Asset Management LTDprovides investment management, risk management and distribution services for investment funds from Malta. Our team deals with wealth managers, family offices, distributors, start-up, hedge funds and investment managers to create and run dedicated investment funds and solutions across Europe.
Abalone Asset Management currently manages over 20 investment funds, among which liquid and illiquid alternative strategies, investing in real asset and private equity, and UCITS funds.