Giorgio Carlino, Head of Multimanagement at Mediolanum International Funds, is the star of the cover of the latest edition of RankiaPro Italia for April 2024.
In this edition, the team gathers the impressions that emerged during the interview we did with him in Milan, at the Excelsior Gallia hotel, where we had the opportunity to talk with him about the asset management sector in Italy, the outlook for 2025 and also about his role and his team's role within the organisation.
You can activate the subtitles in the bottom right-hand corner.
00:16 - How is the Mediolanum International Funds Limited team organised?
01:14 - How is it structured and what is your precise role within this team?
What is the approach that the fund selection team of Mediolanum International Funds Limited follows?
02:33 - Which aspects do you pay most attention to during the qualitative analysis of the funds? And during the quantitative analysis?
04:24 - What does sustainable investment mean to Mediolanum International Funds Limited and how do you approach it?
05:30 - What do you think the trends will be this year? Given the rather complicated landscape we are experiencing, what advice could be shared with investors?
08:15 - What is the next disruptive element that you think will influence the functioning of mandatory pension funds in Italy?
10:00 - In your opinion, how does the asset management industry in Italy characterise and position itself compared to other European countries?
11:33 - What is the most important professional challenge you have faced in your current role