Anthilia SGR
Lucio Cuppini is a seasoned financial professional with extensive experience in the finance sector. Currently serving as a Partner at Anthilia Capital Partners SGR Spa since 2010, Lucio previously held positions at Banca di Bologna as Direzione Finanza until May 2016, and at Banca Akros specializing in financial intermediation for institutional investors from January 2001 to June 2010. Earlier in their career, Lucio was the Direttore Finanza Gruppo at Gruppo Unipol from March 1988 to January 2001. Lucio Cuppini holds a Laurea Magistrale LM in Giurisprudenza from Alma Mater Studiorum – Università di Bologna.
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Anthilia SGR
Anthilia Capital Partners SGR SpA is an Italian investment management house focused on private and institutional asset management. Anthilia Capital Partners was launched in 2007 by a group of individual partners willing to create an indipendent financial boutique, free from conflicts of interest, that distinguishes itself for transparency and simplicity. Each partner has more than twenty years of experience in major Italian and international financial groups. Anthilia Capital Partners decided to specialize its offer on absolute return portfolios focused on capital preservation and appreciation. Anthilia manages opened-end funds with different management styles and risk profiles and closed-end funds focused on private debt. In 2017 Anthilia becomes Innovative Sme, thanks to Podessys, a fintech software to create, analyse and simulate financial portfolios. “Know to invest” is the company claim and management philosophy. Each portfolio manager has conceived his own investment fund based on personal background experience, focusing on a specific investment style. Clients’ needs become Anthilia Capital Partners’ tasks: each portfolio holding can be liquidated in a few days. Anthilia’s managers alligned their interest with clients interest, investing their personal wealth and savings in their funds. Anthilia Capital Partners offers maximum transparency to its investors. In addition to daily publication of funds’ NAVs, portfolios factsheets are released on weekly basis. Funds managers are always available to meet clients, to share market views and to explain investment choices.