Michele Bergantino
portfolio manager, M&G

Michele Bergantino is a portfolio manager and trader of multi-asset derivatives at M&G Investments. He manages an active equity volatility fund with a systematic foundation, which he designed, and focuses on liquid alternative investments and systematic strategies.
Michele has been working since 2016 in a centralised M&G team that specialises in portfolio management and execution of derivative strategies. Prior to this role, he worked 8 years in market risk management at the insurers Prudential and Unipol Group. Michele holds a master’s degree in theoretical physics from University La Sapienza of Rome and has been a CFA charter holder since 2014.