Peter Azzinaro

Portfolio Manager & Partner
Agile Investment Management

As Portfolio Manager Mr. Azzinaro plays a pivotal role in shaping the firm’s investment strategies, managing risk, and driving superior returns for clients. Leveraging extensive experience in macroeconomic analysis, market research, and portfolio management, he is specifically responsible for developing and recommending macro asset allocation calls and providing input to overall portfolio construction.

Mr. Azzinaro was previously a Managing Director of the Manulife Strategic Income Fund Team responsible primarily for developing and implementing currency strategies within the Global Fixed Income team strategies. In this role he also worked closely with Dan Janis in providing inputs to the macro asset allocation decisions in the portfolio.

Prior to that he was Global Head of Trading at US Bank and held Management roles at JP Morgan and Morgan Stanley earlier in his career.

Mr. Azzinaro is a member of the Center of Financial Stability as well as a key note speaker at various Fixed Income Summits and has been quoted in the media for his Macro Economic views . Mr. Azzinaro joined Agile Investment Management in 2024. He serves on the Investment Policy Committee of the firm.

Mr. Azzinaro holds a BS in Management from St. Francis College.

Peter's Philosophy

"Liquidity is essential in risk-averse investing, as it provides the flexibility to respond quickly to market changes and safeguard capital during volatile times."