Über Aliano Fabio:
I am Fabio Aliano and I am a 30 years old graduate in Economics and Financial Markets.
I gained 3 years of experience at FinecoBank S.p.A. where I was able to put into practice all the knowledge and skills I acquired during my university studies and that led me to manage a client portfolio of over 140 people, of about 10Mln € with a weighted portfolio of 8.5Mln € (managed diversified).
I am looking for a job that will give me the opportunity to grow professionally and humanely, I am very willing and a fast learner. I work very hard to achieve personal and corporate goals and prefer to work under pressure to meet deadlines.
I lived about 3 years in London where I improved my level of written and spoken English and reached the C1 level, I attended at the Goethe Institut in Turin the A course of German and obtained the A2 certification and I have a scholastic knowledge of French.
Please find attached my CV, which I hope will be in line with the profile you are looking for so that you can arrange an interview and meet me in person.
Erfahrung
In January 2018, after completing my Bachelor's degree, I started working as a financial advisor
at FinecoBank S.p.A. During these 3 years I was able to increase my skills and
knowledge of financial products, financial markets and relationships with high-profile clients.
profile clients. I am very familiar with a wide range of financial and insurance instruments such as segregated accounts, stocks and bonds, ETFs, ETCs, certificates and mutual funds.
I have come to manage a portfolio of about 10 Mln € with 8.5 Mln € of diversified managed weighted, exceeding 140 personally managed clients. Today I can say that I have the ability to translate clients' personal and financial needs into savings plans and financial instruments suitable for achieve them. I am able to follow a client from opening a current account, to transferring
securities accounts, to the creation and management of trusts, to insurance coverage tailored to needs, to the creation and management of investment portfolios calibrated to risk profiles and aimed at a purpose, and periodic recalibration of asset management to reposition the portfolio on the efficient frontier.
Bildung
Bachelor's degree in Economic, Finance and Financial Markets at Economic and Business Management University
