Responsible for the management of GIP SGR’s Private Debt Fund-of-Funds, Marco is in charge of the selection, implementation and monitoring of investments in Private Debt funds managed by global asset management companies. He is also advisor of several Private Debt funds carrying out supervision and vetoing activities. Before he was the Head of the Generali Group CIO Office and an investment manager for the insurance companies of the EMEA region.

Before joining Generali, he worked in Banca IMI (Intesa SanPaolo Group) as a proprietary trader structuring and executing securities financing transactions (repos, securities lending, collateral swaps, TRS) and derivatives novations. He started his career in the Financial Risk Management at PricewaterhouseCoopers.

Marco holds a Master of Science in Finance from Bocconi University with an exchange program at Vanderbilt University in Nashville. He earned a Bachelor degree cum laude in Economics from University of Padova.