Skip to main content
Switzerland
Professional
English
Corporate
Investment Teams
Media centre​
Careers
Brexit
Jupiter logo
  • About
    About
    About Jupiter

    For over 35 years we’ve aimed to make a positive difference for our clients by helping them achieve their long-term investment objectives through high conviction, active management.

    Learn more
    Our principles
    Our Principles

    We follow a set of principles that guide us and underpin the way we do business. Our most important principle is to put our clients at the heart of everything we do.

    Learn more
    ESG & stewardship
    ESG & stewardship​

    Our approach to ESG is focused on investing our clients’ assets responsibly to enhance returns.

    Learn more
  • Our Products
    In the spotlight
    View all 'spotlight' funds
    Jupiter Strategic Absolute Return Bond Fund

    A strategy that uses dynamic and speedy asset allocation to target risk-adjusted returns and small drawdowns.

    Learn more
    Jupiter Dynamic Bond

    A flexible global bond fund with the freedom to invest in many different parts of the market.

    Learn more
    Jupiter Dynamic Bond ESG

    In harmony with people and the planet

    Learn more
    Jupiter Emerging Market Debt Strategies

    Access one of the fastest-growing fixed income sectors of the past decade.

    Learn more
    Jupiter European Equities

    An active, high-conviction approach designed to maximise opportunities no matter the outlook.

    Learn more
    Jupiter Global Ecology Bond

    Investing in environmental solutions

    Learn more
    By asset class
    Alternatives

    Non-traditional investment strategies designed to diversify sources of return.

    Learn more
    Fixed Income

    Flexibility is at the heart of our approach.

    Learn more
    Equities

    Our capabilities span across a range of equities and specialist areas.

    Learn more
    Multi-asset

    A carefully honed approach to diversification.

    Learn more
    Funds and prices
    Funds and prices
    For all available funds, share classes and price information.
    Learn more
    Key documents
    Factsheets
    Learn more
    Fund commentaries
    Learn more
    KIDs
    Learn more
  • Insights
    Latest insights
    Latest insights
    See all Insights
    Webcast: why an alternative approach to global equities makes sense in 2023
    Read more
    Watch now
    Listen to podcast
    A change in fortune for bond markets?
    Read more
    Watch now
    Listen to podcast
    Reasons to be positive about emerging markets debt
    Read more
    Watch now
    Listen to podcast
    By asset class
    Alternatives
    Learn more
    Fixed Income
    Learn more
    Equities
    Learn more
    Multi-asset
    Learn more
    ESG & stewardship
    See all Insights
    ESG and stewardship
    ESG in fixed income – why do it?
    Read more
    Watch now
    Listen to podcast
    Engagement summary: NatWest Q3 2022
    Read more
    Watch now
    Listen to podcast
    Building resilience with climate adaptation opportunities
    Read more
    Watch now
    Listen to podcast
    By content type
    Articles
    Learn more
    Videos
    Learn more
    Podcasts
    Learn more
    Webcasts
    Learn more
  • Documents
    Key documents
    Factsheets
    Learn more
    Fund commentaries
    Learn more
    KIDs
    Learn more
    View all documents
    View all documents

    Download our full range of literature items.

    Learn more
  • Contact
    General contacts and enquiries
    General contacts and enquiries
    Find out how to get in touch by phone, email or post.
    Learn more
Search box open
Close search box
Jupiter logo
Mobile menu toggle
Mobile menu toggle
  • Toggle Menu
    Professional
    Switzerland
    English
    Search
    About
    About Jupiter
    Our principles
    ESG & stewardship​
    Our Products
    In the spotlight
    Jupiter Strategic Absolute Return Bond Fund
    Jupiter Dynamic Bond
    Jupiter Dynamic Bond ESG
    Jupiter Global Emerging Market Debt Strategies
    Jupiter European Equities
    Jupiter Global Ecology Bond
    View all ‘spotlight’ funds
    By asset type
    Alternatives
    Equities
    Fixed Income
    Multi-asset
    Funds and prices
    Key documents
    Factsheets
    Fund commentaries
    KIDs
    Insights
    Latest insights
    By asset type
    Alternatives
    Equities
    Fixed Income
    Multi-asset
    ESG & strewardship
    By format
    Articles
    Podcasts
    Videos
    Webcasts
    Documents
    Key documents
    Factsheets
    Fund commentaries
    KIDs
    View all documents
    Contact
    Corporate
    Investment Teams
    Media centre​
    Careers
    Brexit
Home
Team members
Valerio Angioni
Share on facebook
Share on linkedin
Share on twitter
Share on email
Share on whatsapp

Valerio Angioni

Investment Director, Fixed Income
Joined Jupiter in February 2022
Follow this Manager
Head shot of Valerio Gabriele Antgioni
Contact us

Get in touch

Close

Current responsibilities

Valerio joined Jupiter in 2022 and is an Investment Director in the Fixed Income team.

Experience and qualifications

Before joining Jupiter, Valerio worked for PIMCO, in the EMEA Global Wealth Management Sales team looking after distribution, wholesale and sub-advisory clients, predominantly invested in fixed income and multi-asset strategies. He has 5 years of investment experience and previously worked at Commerzbank in Cross -Asset Structured Products Sales and completed internships at JP Morgan and GAM. Valerio is a CFA charter holder and holds a degree in Business Economics and a Master of Science in Finance.

Latest Insights

Emerging market debt: Winners and losers

Alejandro Arevalo and Jupiter’s Emerging Markets Debt team weigh the opportunities as well as potential risks in the asset class amid rising inflation, tighter policies and geopolitical tensions.
Read more
Read time - 7 min.
Watch now
27.05.2022
Listen to podcast

The journey to net zero: how we analyse bond issuers’ carbon footprints

Harry Richards, Fund Manager, Fixed Income, and Anna Karim, Fixed Income ESG Director, share how their team analyses companies supporting the transition to net zero.
Read more
Read time - 5 min.
Watch now
17.02.2022
Listen to podcast

General Powell’s Last Stand?

Ned Naylor-Leyland, head of strategy for Gold&Silver, explains the curious divergence in the price of gold and real interest rates and argues that a Fed policy error may be the trigger for a golden rebound.
Read more
Read time - 3 min.
Watch now
17.12.2021
Listen to podcast