Fabrizio Biondo has 25 years of experience in Fixed Income with a strong specialization in credit and fundamental analysis of debt structure of sovereign and corporate issuers. He has a deep knowledge of the European High Yield bond market, US High Yield, Nordic High Yield and Global Emerging Markets and has managed with alternative and long/short strategies since end 2007 and has developed and applied global macro strategies with alternative and traditional funds since 2008. Fabrizio is a CFA charted holder since 2003.