Alessio de LongisMacro Strategist, Global Multi-Asset Group

Alessio de Longis, CFA, serves as macro strategist for the Global Multi-Asset Group. In this role, he focuses on business cycle dynamics, global macro regimes, and their impact on asset class risks and returns. Additionally, he is portfolio manager of Oppenheimer Currency Opportunities Fund.

Previously, Alessio was a member of the Global Debt team where he served as Quantitative FX Strategist.

Alessio received an MSc in financial economics and econometrics from the University of Essex in the United Kingdom, and a B.A. and M.A. summa cum laude in economics from the University of Rome Tor Vergata in Italy. He is also a CFA® charterholder and a published author in Foreign Exchange: A Practitioner’s Approach to the Markets where he wrote a chapter on systematic macro currency investing.