MainStreet Partners
Francesco Tosto is a seasoned finance professional with extensive experience in investment analysis and portfolio management. Currently serving as a Research Associate and Investment Analyst at MainStreet Partners since August 2021, Francesco previously held the position of Portfolio Analyst at New College Capital Ltd from January 2017 to August 2021, where responsibilities included performance analysis and client reporting. Francesco's career also includes roles at DEKRA Italia as an Analyst in Consulting and Corporate Strategy & Performance Management and as a Trainee in the same field. Francesco holds a Master’s degree in Economics and Business Management with a concentration in Corporate Finance from LUISS Guido Carli University and a Bachelor’s degree in Business Administration from Università degli Studi di Roma 'La Sapienza'.
MainStreet Partners
We are the trusted ESG partner of top tier investors for a simple reason: we provide a one stop shop for their sustainability requirements at portfolio level. Our clients are some of the most sophisticated and leading Wealth Managers, Asset Managers, Investment Banks, Insurances and Asset Owners in the financial industry. MainStreet is based in London, regulated by the Financial Conduct Authority and it consists of two main divisions: ESG Advisory We have over 10 years of experience designing ESG multi-asset and multi-manager portfolios with mutual funds, stocks and bonds. We develop products with our partners which target United Nations Sustainable Development Goals or thematic investments; Portfolio Analytics We provide a holistic approach to ESG data analysis such as: transparent and detailed Fund ESG Ratings, assessment of clients’ portfolios to enhance their ESG profile and align them with the “green” regulation. * * * Our solutions are delivered through proprietary models and databases available on a unique and user-friendly ESG platform. Our clients can create sustainable model portfolios and / or analyse their portfolios thanks to: - ESG ratings of issuers (equities, corporate and government bonds, green and social bonds); - ESG ratings of funds with the addition of extra-financial disclosures and SDGs alignment; - Exclusion lists and analysis of controversial activities and behaviours; - Advanced models to create universes and portfolios targeting specific SDGs and extra-financial results.