Marc Valeri
Macroeconomics & Volatility
Twelve years of institutional trading at major investment banks. Member of the Didactic Commission.
The official directory of certified educators, updated quarterly. Every profile shows the registry number, jurisdiction and professional specialization.
Macroeconomics & Volatility
Twelve years of institutional trading at major investment banks. Member of the Didactic Commission.
Quantitative Technical Analysis
Specialist in quantitative modelling for currency markets. Author of two monographs.
Options Strategies
Advisor to high-net-worth portfolios. Lecturer at the Master in Finance, University of Zurich.
Fixed Income Markets
Former proprietary trader on European sovereign debt. Educates on fixed income instruments.
Order Flow & Microstructure
Independent analyst specialised in order flow reading and volume profile.
Financial Education
Promotes financial literacy programmes for young professionals. PhD in Behavioral Finance.
Crypto & Digital Assets
Researcher in digital asset market microstructure. Currently under disciplinary review (Art. III).
Behavioral Trading
Twenty years bridging behavioral finance and trader psychology. Author of four books.
Algorithmic Systems
Designs systematic trading frameworks for Nordic equities and futures markets.
Emerging Markets
Specialist in Latin American currency dynamics and emerging market debt.
Commodity Markets
Twelve years on West African commodities trading desks. Educator on energy markets.
Portfolio Construction
Architect of multi-asset portfolios for institutional clients across LATAM.
Derivatives & Volatility
Former equity derivatives trader. Author on volatility surfaces in emerging markets.
Risk Management
Risk officer turned educator. Focus on drawdown control and position sizing.
Macro & Geopolitics
Former central bank analyst. Bridges geopolitical analysis with market positioning.
Asian Equity Markets
Equity strategist covering Greater China tech and consumer sectors.
Trend Following
CTA fund veteran. Teaches systematic trend-following on global futures.
Trading Psychology
Performance coach for professional traders. Background in clinical psychology.
Equity Research
Sell-side analyst turned independent educator on fundamental equity research.
High-Frequency Strategies
Pioneer of low-latency strategies on Asian exchanges. Published quant researcher.
ESG & Sustainable Finance
Specialist in sustainable investing frameworks and ESG-integrated portfolio design.
Statistical Arbitrage
Quantitative researcher focused on mean-reversion and pairs trading strategies.
Frontier Markets
Researcher on African capital markets. Educator for emerging investor communities.
Volatility Trading
Former options market maker. Lectures on dispersion and variance trading.
Technical Analysis
Independent trader and technical analyst with focus on European equity indices.
Islamic Finance
Specialist in Sharia-compliant trading instruments and Islamic portfolio structures.
Tech Sector Trading
Equity trader specialised in semiconductor and consumer electronics sectors.
Futures & Commodities
Veteran on Brazilian agri-commodities futures. Educator on soft commodity cycles.
Asset Allocation
Private banking veteran. Designs allocation frameworks for ultra-HNW clients.
Macro Hedge Strategies
Former sovereign fund analyst. Teaches macro hedging strategies for energy exposure.
Scalping & Algorithmic Trading
Gaetano primarily uses scalping strategies, supported by his proprietary indicator AltusQuant and the automated EAs AltusQuantEA, developed in-house. He is a high-profile trader and educator.
Sovereign Debt & Rates
Former ECB economist. Educates on European rate dynamics and sovereign curves.
Energy Derivatives
Two decades on Dutch power and gas markets. Lectures on European energy hedging.
Wealth Management
Family office advisor specialised in multi-generational wealth structuring.
Central European Equities
Equity analyst covering Central European industrials and financials.
Gold & Precious Metals
Precious metals strategist with deep expertise in physical and futures markets.
Systematic Macro
Designer of systematic macro strategies for Nordic institutional mandates.
Indian Equity Derivatives
Specialist in Nifty options strategies and Indian equity derivatives markets.
DAX Index Trading
Day-trader on European index futures. Educator on intraday volatility patterns.
FX Strategy
Currency strategist focused on Baltic and Eastern European FX dynamics.
Equity Long/Short
Former hedge fund PM. Teaches fundamental long/short equity construction.
MENA Markets
Researcher on Gulf Cooperation Council equity and sukuk markets.
Convertible Bonds
Convertible bond specialist with focus on European hybrid capital instruments.
Japanese Equities
Veteran value investor on Topix. Author on corporate governance reform in Japan.
Private Markets
Educator on private market access and illiquid asset valuation frameworks.
Cryptocurrency Markets
On-chain analyst and educator on digital asset market structure.
African Capital Markets
Researcher on West African equity markets and frontier investment frameworks.
Quantitative Risk
Risk quant for Swiss private banks. Lectures on tail risk and stress testing.
Eastern European FX
FX trader specialised in Romanian leu and CEE currency cross dynamics.
ETF Strategies
ETF specialist. Educator on passive and smart-beta portfolio construction.
Sustainable Investing
Impact investing analyst. Designs sustainable portfolio frameworks for retail.
Leveraged Trading Strategies
Educator on leveraged FX and CFD strategies. Currently suspended pending review by the Disciplinary Commission for non-compliant promotional communications (Art. V).