Profile
Roberto Condulmari was the founder of Kairos Partners SGR SpA, founded in 1999, where he held the title of Portfolio Manager from 1999 to 2014.
He was also the founder of Kairos Investment Management Ltd., founded in 1999, where he held the title of Chief Executive Officer from 2011 to 2014.
Mr. Condulmari's former jobs include being a Fund Manager at Compass Asset Management SA from 2014 to 2019 and an Analyst at UBS Italia SIM SpA in 1999.
Former positions of Roberto Condulmari
| Companies | Position | End |
|---|---|---|
Compass Asset Management SA
Compass Asset Management SA Investment ManagersFinance The Compass investment approach focuses first on bottom-up research to identify good risk/reward positions. Then they will mix them in a portfolio. They then manage the resulting market risk, optimizing weights of the positions and various hedging techniques depending on the risk profile of each sub-fund. Their independent SICAV consists of several sub-funds, both bond and equity, which are all managed with absolute return strategies. Across the bond sub-funds, Compass invests in corporate and government bonds. Depending on the risk/return potential, and to minimize potentially negative market movements, the firm concentrates on niches and special situations. Within their equity funds, they construct portfolios through investments in government and corporate bonds of emerging countries and supranational entities. They also invest primarily in equities listed or issued in the European Union with a bottom-up approach to stock selection and a portfolio risk management carried out with a discretional hedging | Portfolio Manager-Equities | 2019-09-30 |
Kairos Partners SGR SpA
Kairos Partners SGR SpA Investment ManagersFinance Kairos aims to generate positive absolute returns in any market condition, through active and dynamic management and focused risk control. The firm considers clients’ needs and looks to the future with the aim of anticipating new trends and understanding their implications, to constantly offer long-term investment solutions proposals of value. | Founder | 2014-02-28 |
Kairos Investment Management Ltd.
Kairos Investment Management Ltd. Investment ManagersFinance KIM is an active investment manager focused on absolute returns and following a long/short pan-European equity strategy, with a Northern Europe bias for some of their portfolios. As reflected in their name, taken from the youngest son of Zeus who personifies the auspicious moment, the firm's investment philosophy focuses on embracing opportunities. Their risk-conscious investment approach emphasizes diversification, qualitative judgment, decisiveness and limiting volatility. The firm invests in equity and equity-related instruments. | Chief Executive Officer | 2014-02-28 |
UBS Italia SIM SpA
UBS Italia SIM SpA Investment Banks/BrokersFinance Provides brokerage services | Analyst-Equity | 1999-07-25 |
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 4 |
|---|---|
Kairos Partners SGR SpA
Kairos Partners SGR SpA Investment ManagersFinance Kairos aims to generate positive absolute returns in any market condition, through active and dynamic management and focused risk control. The firm considers clients’ needs and looks to the future with the aim of anticipating new trends and understanding their implications, to constantly offer long-term investment solutions proposals of value. | Finance |
Kairos Investment Management Ltd.
Kairos Investment Management Ltd. Investment ManagersFinance KIM is an active investment manager focused on absolute returns and following a long/short pan-European equity strategy, with a Northern Europe bias for some of their portfolios. As reflected in their name, taken from the youngest son of Zeus who personifies the auspicious moment, the firm's investment philosophy focuses on embracing opportunities. Their risk-conscious investment approach emphasizes diversification, qualitative judgment, decisiveness and limiting volatility. The firm invests in equity and equity-related instruments. | Finance |
Compass Asset Management SA
Compass Asset Management SA Investment ManagersFinance The Compass investment approach focuses first on bottom-up research to identify good risk/reward positions. Then they will mix them in a portfolio. They then manage the resulting market risk, optimizing weights of the positions and various hedging techniques depending on the risk profile of each sub-fund. Their independent SICAV consists of several sub-funds, both bond and equity, which are all managed with absolute return strategies. Across the bond sub-funds, Compass invests in corporate and government bonds. Depending on the risk/return potential, and to minimize potentially negative market movements, the firm concentrates on niches and special situations. Within their equity funds, they construct portfolios through investments in government and corporate bonds of emerging countries and supranational entities. They also invest primarily in equities listed or issued in the European Union with a bottom-up approach to stock selection and a portfolio risk management carried out with a discretional hedging | Finance |
UBS Italia SIM SpA
UBS Italia SIM SpA Investment Banks/BrokersFinance Provides brokerage services | Finance |
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