Asset Management

Vismara Jacopo

Portfolio Manager

over 5 years of experience

He joined Kairos in 2024, he manages the following product:

  • Kairos International Sicav – KEY

In November 2019 he began his professional career as an Equity Research Analyst at Mediobanca, specializing in the Southern European utilities sector. In September 2021, he took on the role of Associate within the Investment Team of F2i SGR, where he developed LBO and project finance models to assess investment opportunities in the renewables, airports, and transportation sectors. In September 2024, he joined Kairos’ Analysis and ESG team, and in February 2025, he became the portfolio manager of KIS KEY.

Graduate in Banking and Financial Sciences from Università Cattolica. He later earned a Master’s in Mathematical Finance from the University of North Carolina and a Master’s in Banking and Finance from Università Cattolica of Milano.

 

Portfolio Managers