Risk & Compliance Director
Gianluca Leggieri has been Risk & Compliance Director at Fondo Italiano d'Investimento SGR since September 2010.
Gianluca Leggieri has been Risk & Compliance Director and the coordinator of the Conflict of Interest Committee function at Fondo Italiano d'Investimento SGR since September 2010. From 2000 to 2010 he worked for CONSOB's Intermediaries Division (Supervisory Office for asset management companies (ACMs) and Undertakings for Collective Investment (UCIs)), acquiring extensive experience in the field of Italian and European legislation on investment and asset management services and regarding supervisory activities associated with ACMs and Investment Funds. During that period, he was also a speaker at important conferences and seminars. Gianluca graduated in Law from the LUISS – Guido Carli University in Rome in 1998 and obtained a specialist diploma in Banking from "La Sapienza" University in Rome in 1999. He successfully completed an intensive "Financial Regulation" course at the London School of Economics in 2004. He is the author of several publications on financial markets and intermediaries and he is qualified to practice as a lawyer.