Who we are

Frame Asset Management

Frame AM is a Swiss law company authorized by FINMA and supervised by the Financial Supervisory Body OSFIN, specializing in wealth management and investment advisory.

Our Mission

To manage our clients' wealth in the same way we manage our own.

I nostri punti di forza

Our strengths

A careful analysis and scouting process enables FRAME to provide high-quality service in selecting financial products, ensuring independence in asset selection.
The FRAME team has been assisting clients for over fifteen years. The principle guiding our investment philosophy is to manage clients' wealth as we manage our own.
The Frame AM team has diverse and highly esteemed professional backgrounds. The group's skills, combined with in-depth market knowledge and excellent relationships with key players, have led to the creation and selection of numerous successful investment products.
The FRAME model is particularly suited for independent professionals who work with banks and management companies. High-quality products offering, freedom in choices, and competitive compensation as our guarantees.
The sum of active management supported by talent scouting of the best asset managers in the financial market, a tailored offering to individual needs, bespoke products and constant portfolio reviews, has consistently delivered proven results and client satisfaction.

Team

Governance

BOARD MEMBERS & MANAGEMENT TEAM

Michele De Michelis
Michele De Michelis
BoD President E CHIEF INVESTMENT OFFICER
Michele De Michelis has gained many years of experience in the world of finance and private banking, working from 1993 to 2007 for BNL Investimenti SIM, which later became Allianz Bank Financial Advisors. Since 2007, he has held the position of Chairman of the Board of Directors of FRAME SA and Head of Investments.
Calogero Bazzone
Calogero Bazzone
ADMINISTRATIVE DIRECTOR
He combines his accounting and financial training with many years of experience in the management of Luxembourg financial and insurance companies. Already an insurance intermediary authorised by the CAA, the Luxembourg supervisory authority, he acted as a member of the board of directors in several financial companies.
Roberto Carlucci
Roberto Carlucci
BoD MEMBER
Roberto Carlucci has gained twenty years of experience in the world of finance and private banking working for BNL Investimenti SIM, which later became Allianz Bank Financial Advisors and Fineco Bank. He holds the position of Chief Operating Officer of FRAME SA.
Luciana Costi
Luciana Costi
BoD MEMBER
Graduated in Literature and Philosophy, with honors, from the University of Bologna. In 1999 she began her career in the financial world as a financial and credit consultant working for the BNL group. Since 2008 she has been working as an independent financial consultant and since 2014 she has been a partner of Frame SA as a member of the Board of Directors.
Alessandro Costa
Alessandro Costa
BoD MEMBER

ADVISORY OF FAMILY OFFICE

Graziano Deli
Graziano Deli
Senior Private Banker
FRANCESCO DELL’ELMO
FRANCESCO DELL’ELMO
SENIOR ADVISOR

DESK

Giuseppe Schena
Giuseppe Schena
Senior Analyst & Fund Selector
Livio Spadaro
Livio Spadaro
Senior Portfolio Manager
Federico Marcassa
Federico Marcassa
Junior Portfolio Manager
Riccardo Talami
Riccardo Talami
Junior Analyst

RISK MANAGEMENT & COMPLIANCE

Marco Piano
Marco Piano
Risk Manager

BACK OFFICE

Sara Ciglia
Sara Ciglia
Back Office
Francesca Elicio
Francesca Elicio
Back Office and Executive assistant

ASSET MANAGERS

ANDREA DE LORENZO SMIT
ANDREA DE LORENZO SMIT
MONEY MANAGER
Graduated in Economics at the University of Bologna, he moved to Switzerland in 2007 where he began working with options and futures strategies for some Investment Funds including a UCITS Fund with over 50 million in AUM.
Also active in consulting for institutional clients, since 2018 he has developed his own Investment strategy with the aim of obtaining positive returns regardless of the performance of the reference indices while maintaining low return volatility.
In 2020 he worked as an Index Advisor for a Cirdan Asset Management certificate listed on Euro TLX which will serve as the basis for the creation in 2022 of the Alternative Option AMC which he manages as Portfolio Manager for Frame Asset Management.
LORENZO VANELLI
LORENZO VANELLI
MONEY MANAGER
Graduated in Economics and Commerce at the University of Pisa in 1993, in 1994 he began his financial experience with BNL Investimenti SIM and in 2011 he became a consultant for Banca Ifigest.
In these 30 years he attended courses and masters in technical and fundamental analysis and acquired management knowledge especially in the complicated world of Currency options.
In 2020 he decided to move to Lugano to undertake collaborations with important local management trusts.
SERGIO MAZZOCCHI
SERGIO MAZZOCCHI
MONEY MANAGER
With twenty years of experience in various sectors of Private Banking, he has cultivated a passion for structuring positions especially in the Family office, trust and similar sectors.
Currently responsible for private companies with offices in Luxembourg and Switzerland, he has a deep knowledge of the rules that govern alternative investments and a proven experience in asset allocation for institutional investors. To his credit, he has a track record that has consistently beaten the reference benchmark through opposing market cycles.
With an international background, he is currently head of Societé Privee d’Investissement (Luxembourg) and ILF Trust Sa.
GIUSEPPE CALABRESE
GIUSEPPE CALABRESE
MONEY MANAGER
Graduated in Banking Sciences, his career path is characterized by a specialization in statistical analysis and Risk Management.
His academic education, combined with solid professional experience, has allowed him to develop an analytical and strategic approach to risk management, making him an expert in the sector.
These skills have been acquired and perfected through significant experiences at E&Y, Family Office and independent Securities Brokerage Companies (SIM).
STANISLAO D’ORTA
STANISLAO D’ORTA
MONEY MANAGER
A graduate in Economics and Commerce, he boasts twenty years of experience as a portfolio manager, an activity carried out both in Italy in management Sims and in trust companies and asset management boutiques in Ticino. During his career he has developed a passion for trend follower quantitative systems, subsequently implementing them with the use of hedging systems with derivatives, mainly option structures. For over 10 years he has managed a Maltese Pif and a Luxembourg Sicav sector dedicated to these structures.
He has obtained the title of AIAF certified financial analyst.

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