Disclaimer: Views in this blog do not promote, and are not directly connected to any L&G product or service. Views are from a range of L&G investment professionals, may be specific to an author’s particular investment region or desk, and do not necessarily reflect the views of L&G. For investment professionals only.

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Silvio Corgiat Mecio
Senior Systematic Quantitative Strategist, Asset Management, L&G

Silvio is a Senior Systematic Strategist in the Index Solutions team, leveraging his expertise in ESG, financial modelling, factors and risk to design and deliver customised client solutions across various products, segments and channels.

Since joining L&G’s Asset Management business in 2011 as a Senior Derivative Pricing Analyst, Silvio has evolved his role within the Investments area.

He graduated with honours from the University of Turin with an MSc in finance. He is a certified FRM and a CFA charterholder and holds an ESG Investing Certificate from CFA UK. 

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