Fabrizio Valerii started his career as a management engineer and covered various managerial positions in international companies in the banking, consulting and asset management sectors. Since an early age he has been fascinated by financial markets and had his first trading experience during 2001, experimenting first hand the rise and fall of a bubble market. In 2003 he started actively trading the US markets using an approach based exclusively on technical analysis. Over time his methodology evolved integrating ever more in his investment process fundamental analysis, that now represents the core of his approach while using price movement and market psycology as confirmation indicators. He focuses on discovering high potential opportunities like turnaround stories, distressed investing, disruptive and highly innovative companies.