Coolabah Capital Investments
Mario Simonetti is a Junior Data Scientist at Coolabah Capital Investments since May 2022, previously serving as a Middle Office Analyst. Prior experience includes working in Investments Back Office at Zurich Insurance Company Ltd from September 2019 to April 2022, and a role in Capital Markets at BNP Paribas in early 2018. Additional experience includes a Sales and Marketing Trainee position at The Ritz-Carlton Hotel Company, L.L.C. in 2017. Mario is currently pursuing a Master's degree in Banking and Finance at King's College London, set to graduate in January 2024, and holds a B.A. in Hospitality Management from Glion Institute of Higher Education, completed in 2019.
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Coolabah Capital Investments
Coolabah Capital Investments (CCI) is a leading active credit alpha manager that is responsible for managing numerous institutional mandates, the Smarter Money Investments’ product suite, the Coolabah Active Composite Bond Fund (Hedge Fund) (CXA:FIXD) and the BetaShares Active Australian Hybrid ETF (ASX: HBRD). CCI manages over $8 billion in funds under management. CCI’s edge is in “alpha” generation in liquid, high-grade credit in contrast to traditional fixed-income strategies that drive returns through adding more interest rate duration risk, credit default risk, and/or illiquidity risk (or “beta”). This alpha is a function of the world-class analytical insights rendered by CCI’s human capital, which includes over 38 executives with a long-term track-record of delivering prescient macro and quant insights. In 2019, CCI’s portfolio managers were selected as one of FE fundinfo’s Top 11 “Alpha Managers” based on their risk-adjusted performance across all asset-classes.