May, 18 and 19 2022

TOL Expo

Main Sponsor

Banca Akros


Intesa Sanpaolo - Imi

Main Media Partner

Class CNBC

Technological partner

In collaboration with

All conferences of

Tuesday 20 October    08:30 - 18:00   


Borsa Italiana ti invita a partecipare alla Trading Online Expo.

TOL Expo 2022

Wednesday 18 May    08:30 - 10:00    AGORA

Live trading in real time

8.30: after a greeting from the main brokers present at the TOL, professional traders will share their trading strategies in real time, and their point of view on the current period with the audience in the room. Furthermore, at 9 o'clock there will be the opening ceremony of the market, with the historic bell ringing of Piazza Affari.


Wednesday 18 May    09:00 - 10:00    SALA CONVEGNI

Market opening: Real time strategies with leveraged instruments. Stocks and indices to be monitored on intraday and multiday.

Luca Stellato, Financial Trainer, Option Holder and Trainer and Pietro Di Lorenzo, Trader and Founder of SOStrader will simulate live trading operations with leveraged certificates on the most interesting indices and stocks of the moment.
Riccardo Falcolini, UniCredit Certificate Specialist, will open the event by illustrating the characteristics and differences between leveraged certificates and explaining their main peculiarities.


Wednesday 18 May    09:30 - 10:30    GREEN

flatexDEGIRO, over 7 milion clients by 2026

Driving the growth of Europe’s leading online broker, in an environment of uncertain and volatile markets. What the future has to offer, threats and opportunities for retail investors.


Wednesday 18 May    10:00 - 11:00    BALCONATA2

OPTIONS and MATRIX a winning method without going NAKED

Know the strategies in options. Understand and test the odds in favor.
An operational seminar with didactic equipment that will allow to verify the trends through the MATRIX.
Vito Tarantini is the author of the book The Options and Trading Library and coordinator of the website


Wednesday 18 May    10:00 - 11:00    BALCONATA1

Leverage your ideas: how to use dynamic gearing to implement your trading and hedge strategies

After the strong market performance in 2021, 2022 so far seems to be pricing in greater uncertainty linked to the geopolitical context and the normalization of monetary policies in the period of high inflation post-pandemic. In this scenario, investors who wish to take leveraged positions can look with interest at dynamic leveraged instruments and build speculative trades and/or hedging positions in the portfolio. During this conference we will present some operational strategies with Turbo Open-End certificates on some of the most traded underlyings.


Wednesday 18 May    10:30 - 11:30    AREA SCAVI

Directional Trading: How to Use Options

  Daily opportunities and trading examples


Wednesday 18 May    11:00 - 12:00    GREEN

Static, dynamic, adaptive, what is the future of Asset Allocation?

The financial world is constantly changing, the instruments are changing and the investment styles are changing, but there is one thing that doesn’t seem to change: the Efficient Market Hypothesis.
A theory that has been able to explain the financial markets in its entirety has not yet been found, but does not mean that we should give up looking for the investment style that guarantees us the best chance of success.
Everyone agrees that asset allocation is the most important piece in the process, but opinions differ as to which is the best way to do it.
Is it better to take a static approach in the old fashioned way or is it better to seek a dynamic approach following trends? Or, even more, is it better to follow an adaptive approach following the new Adaptive Market Theory of Andrew Lo (MIT)?
This is going to be the focus of Giorgio Carlino's speech.
Giorgio will show us the pros and cons of each approach to give us the possibility to understand which one fits better to our situation as investors.
Specifically, we will finally be able to find some answers to the important questions many investors ask themselves, I will be, though, explained in a simple language, within everyone's reach, so that it can be understood by an audience of non-professional investors.

To find out the answers you just have to visit us on Wednesday, May 18 at 11 am in the Green room.


Wednesday 18 May    11:00 - 12:00    AGORA

When Directa Trading is better - Operate promptly on Capital Increases with your 100% Italian broker

Davide Biocchi and Giovanni Borsi, with the participation of Elena Motta, General Manager Directa Sim, will explain what characteristics are needed to move confidently on the markets, especially with capital increase operations.


Wednesday 18 May    11:30 - 12:30    BALCONATA2

Prospects for Piazza Affari in 2022

After an amazing year, for economic growth and market performance, Borsa Italiana slows down. Piazza Affari is affected by the increase in interest rates on public debt. Even the risk premium is no longer up to the expectations of increasingly demanding investors.
In terms adjusted for the economic cycle, the "CAPE" Price / Earnings allows us to outline a credible path for the next ten years of Piazza Affari. A forecast map that intersects well with the characteristics of the Italian economy and with the deterioration of the technical picture of the stock market.


Wednesday 18 May    11:30 - 12:30    BALCONATA1

Investors and sustainability: challenges and perspectives for ESG investments

Last year Euronext announced the debut of the MIB ESG index, the first index dedicated to the Italian stock market designed to identify the large Italian issuers with ESG best practices. An initiative that also has the aim of encouraging companies to pursue ambitious goals from the point of view of sustainability. Following this initiative, some leading investment houses have requested admission to trading on the Borsa Italiana markets of certificates and ETNs having the MIB ESG index underlying, immediately following up on market demand. The regulatory framework is also rapidly evolving in favor of private investors, converging towards a specific regulatory provision that will guarantee a profiling of retail customers also from an ESG point of view. The seminar will focus on these changes, offering interesting insights thanks to the privileged observatory of investment houses involved in the launch of structured products on ESG indices on a pan-European level and of a leading international law firm.


Investitori e sostenibilità: sfide e prospettive per gli investimenti ESG - Luciano Morello
Latest trends & Future Challenges in ESG Investing - Alessandra Franzosi


Wednesday 18 May    12:15 - 13:00    AREA SCAVI

The Red and the Black. Reflections on the age of instability

The appointment at TOL Expo 2022 is renewed with one of the well-known and appreciated Italian strategists, Alessandro Fugnoli. Milanese, with a degree in philosophy at the State University, after an experience as Head of Research at Abaxbank, since 2010 he has been part of the Kairos team, one of the few independent companies in the Italian asset management sector. 

Also nicknamed the "philosopher of finance" for his encyclopedic classical culture, Fugnoli is a careful observer of economic dynamics and financial markets that he analyzes weekly in his column "The red and the black".


Wednesday 18 May    12:30 - 13:30    AGORA

Investments and trends of the future

The world is constantly evolving, and every day new trends and fashions are born that sometimes explode in a bubble, others settle down and become normality. In recent months, we have heard of metaverse, space economy, ethical food, NFT, new media, dropshipping, cybersecurity, terms, some of which we did not even know existed. Which of these are currently the object of investment and what kind of development can they have in a globalized finance? Which tools allow you to have a certain return and which securities do these markets offer?


Wednesday 18 May    13:00 - 14:00    BALCONATA1

Stocks, ETFs, funds, derivatives, CWs and certificates, bonds: how, when and why

A journey through the instruments of the Italian Stock Exchange. Peculiarities, strengths and weaknesses.


Wednesday 18 May    14:00 - 15:00    BALCONATA2

What are institutional investors doing on Italian equities?

We analyze their movements to support our investment decisions


Wednesday 18 May    14:00 - 15:00    SALA CONVEGNI

The landscape and the implications for the future of the markets

Peter Tuchman, famous NYSE professional trader, will discuss about what’s happened in the marketplace during the last two years, focusing on the market in turmoil around Covid, the war and the consequences on energy supply


Wednesday 18 May    14:00 - 15:00    AGORA

Italian stock market three modes of operational approach: quant, certificates and options

The meeting is focused on providing participants with the foundations of three different operational facets, centered on the Italian stock market:

  • systematic stock selection
  • nature and use of the certificates
  • options strategies
Current operational cases and specific case studies will be presented by the three market specialists.


Wednesday 18 May    14:00 - 15:00    AREA SCAVI

DIRECTA - Practical Operational Trading - Strategies beyond charts

Davide Biocchi, Stefano Bargiacchi, Mirko Castignani and Andrea Vaturi, will show you some effective  strategies for your trading and investments, using the charts, but not only...


Wednesday 18 May    14:30 - 15:30    BALCONATA1

Seasonal Analysis on the Italian's Equity Market

Are there any seasonal tendencies we can use on Italian's equity market? We all know the old saying: "Sell in May and go away". In this speech Luca Giusti will show how to find seasonal patterns (other than this), how to measure their reliability and asses robustness of these models, and how to build a Portfolio of seasonal patterns that takes into account not only the performance, but also the efficiency of the capital we are investing. He will also show the benefit to work on these models, combining equities and options.


Wednesday 18 May    14:30 - 15:30    GREEN

Seeking Income with Index Options

How has your portfolio performed so far in 2022? Global markets have saw continued volatility and sharp declines on concerns over a change in the interest rate environment, inflation, and the war in Ukraine. Investors can capitalise on higher volatility premium using several option strategies that seek to harvest premium using either near-term weekly options or longer-term traditional monthlies.
Join Gareth Ryan, Founder & Managing Director at IUR Capital, as he discusses the evolution of index options with premium-harvesting option strategies including the credit spread strategy and covered call. Gareth will look at how these defined-risk, defined-return strategies are implemented to an equity portfolio and look at how they can be used in bull, bear and sideways markets. A Q&A session will take place at the end.


Wednesday 18 May    15:30 - 16:30    SALA CONVEGNI

Post-pandemic options trading: how to find the strategy that fits your thesis

With the increased popularity of options in post-pandemic market environment, how can market participants trade with guidance and with discipline? When you have your own analysis of stocks, how to pick the right option strategy to fit your thesis? Tony Saliba will share his secrets to individual traders and guide you through a brand-new way to look at options trading.


Wednesday 18 May    15:30 - 16:30    BALCONATA2

Selling volatility with index options

Find the better strategy with Idem Option Tool


Wednesday 18 May    15:30 - 16:30    AGORA

Professional trading: qualitative items, trading activity and new opportunities for a full-time Trader

Traps, false signals in prices: how to turn that into new opportunities also through active fundamental analysis


Wednesday 18 May    15:30 - 16:30    AREA SCAVI

The correlations between commodities, equities and bonds: how to build a portfolio in 2022

The seminar will illustrate the main financial themes of 2022 showing how to build a trading and position allocation in a context of high volatility.


Wednesday 18 May    16:00 - 17:00    BALCONATA1

The Lapidari's Keys

On many asset classes, 2022 sees us busy deciphering news and unknowns for the future, together with the growth of volatility, not always accompanied by clear and stable directions. Consequently, the majority of investors face operational difficulties in managing price movements. However, it is possible to draw some equilibrium lines, which we will define as Keys, to clean up the graph from the noise of sudden oscillations. This will allow us to understand with extraordinary immediacy how the trend is moving and where to place our inputs, outputs, supports and resistances. In this meeting Giovanni Lapidari will demonstrate that graphic analysis 2.0 can be built on our monitors.


Thursday 19 May    08:45 - 10:00    SALA CONVEGNI

Live trading in realtime

Follow the opening of the markets together with professional traders, who will share their trading strategies and their point of view on the current period with the audience in the hall.


Thursday 19 May    09:15 - 10:30    GREEN

Best Portfolio: how to build (and not) a portfolio that can withstand the stress of the markets (and self)

Evaluating whether your portfolio of stocks, ETFs, funds or bonds is sustainable in every sense is crucial.
What you need to know, the most important asset allocation strategies to know, the expensive solutions to avoid and the analyzes to conduct (even alone).


Thursday 19 May    09:30 - 10:30    BALCONATA2

Intraday trading on Italian shares in the first trading hour

How to identify the most promising stocks of the day by following the initial steps


Thursday 19 May    09:30 - 10:30    BALCONATA1

A simple and profitable trading strategy

During this seminar Gabriele Bellelli will illustrate a complete trading strategy at the same time simple, which even a novice is able to replicate, but also profitable. Starting from the description of the underlying logic, the precise and objective rules will be described and the results, performances and metrics will be illustrated.


Thursday 19 May    09:30 - 10:30    AGORA

A comprehensive overview of DEGIRO, our platform and our services

A comprehensive guide to our offer, features and services. Discover what DEGIRO has to offer and how it works, learn how to go from the account opening step all the way down to your executed order and reports


Thursday 19 May    10:30 - 11:30    SALA CONVEGNI

The Fear Index

At the beginning of the last century, a series of new scientific studies on the involvement of emotions in human behavior took place. In fact, the idea has begun to gain ground that emotions not only have an impact, but are an integral part of every decision-making process, and that the failure to recognize the importance of emotions in favor of a purely logical and rational approach has often led to unforeseen and disastrous consequences.
The world of Finance, and in particular that of Trading, immediately showed considerable interest in the subject: thousands of traders and portfolio managers all over the world clash daily with psychological issues and the management of emotions, and they soon realized that it is there is the difference between success and failure. However, every trader knows that it is practically impossible to manage their emotions efficiently, especially because their functioning is so complex and articulated that not even the most powerful algorithm, much less we humans, are able to do it.
Why not then focus on a single emotion, articulate it in its most evident forms, recognize its most characteristic features and propose a functional decision-making approach to achieving one's goals, based exclusively on it.
During the seminar we will talk about how fear is not only the most powerful and decisive emotion for a Trader, but it is also the key element to understand our behaviors, and therefore the performance resulting from our choices. In trading it is not really important what happens in the market, but how we observe what happens.


Thursday 19 May    10:30 - 11:30    AREA SCAVI

The ABC of the Blockchain

Cryptocurrencies, technology and innovation: the world of blockchain is large and constantly evolving. There is a lot of talk about it, but are we sure we really know Blockchain technology? Find out with us how to fully grasp the potential of this revolution!


Thursday 19 May    11:00 - 12:00    BALCONATA2

Online financial abuses: Consob's supervisory experience

The experience gained in the field of action to combat illegal activities has highlighted a wide range of variegated and particularly invasive cases, also thanks to digital technologies which have, on the one hand, further developed forms of remote interaction and, on the other , allowed the creation of "captivating" operating methods.
The abusive subjects operate mainly through websites and use, as contact channels to promote their initiatives with savers, above all e-mails, chats, social networks and telephone solicitations (so-called cold calling).
The most recurring cases of abusive provision of investment services are represented by trading services, offered to users through online platforms that also give access to operating methods that have experienced strong growth in recent years such as social trading, which allows clients to "copy" the investment strategies of other traders, as well as the automatic replication of operations or trading strategies formulated by software that operate on the basis of predefined algorithms.
In the last three years, Consob has blocked almost 700 websites of illegal operators.


Thursday 19 May    11:00 - 12:00    GREEN

Investing in times of war: ETFs in support of Asset Allocation

An overview of different portfolios (static and dynamic) for the investor who wants to reduce the risks within their portfolios but at the same time seize the opportunities that the market can offer. A technical and emotional overview of how to approach the current period.


Thursday 19 May    11:00 - 12:00    AGORA

PAC as an investment tool to take care of your savings

Directa is the broker that offers you a range of Hassle Free solutions to take care of your savings, such as ETF PAC and Zero Fee products
Pietro Di Lorenzo and Stefano Bargiacchi, with the participation of Vincenzo Tedeschi CEO Directa, will present  the investment possibilities and opportunities that arise in the current market scenario.


Thursday 19 May    11:00 - 12:00    BALCONATA1

SG ETN Thematic and Recovery Bonus: two proposals for equity investing

In a particularly uncertain geopolitical and macroeconomic context, marked by the renewed presence of volatility, investors are increasingly considering the possibility of investing in new trends of the future that have a lower correlation with traditional equity exposures. Another aspect of growing interest for investors concerns tactical, short-term products that can benefit from conditional protection mechanisms at maturity.  Starting from these observations, we will present the new range of Thematic ETNs of Societe Generale linked to the themes of uranium mining, metaverse, hydrogen and the MIB ESG index, as well as some operational strategies with the Recovery Bonus Cap and Recovery TOP Bonus certificates, capable of benefiting from a not purely bullish trend of the market.


Thursday 19 May    12:00 - 13:00    SALA CONVEGNI

Leveraged investing using high conviction ETPs: a new tool for an unprecedented market

2022 brought with itself a number of events that impacted financial markets with consequences that only a few months ago would have sounded unbelievable. To create value in such a market represents a real challenge for investors, finding themselves operating in an increasingly complex environment. GraniteShares entered the Italian market with the ambitious goal of making leveraged investing on single stocks easy, transparent and efficient, a target that was made reachable thanks to a new financial instrument: the high conviction ETP.


Thursday 19 May    12:15 - 13:00    AREA SCAVI

Inflation: an (un)expected return

Commodities, bonds, stocks. Which asset classes to use to protect against inflation risk.

Inflation is an economic variable that has always characterized real markets and financial markets in relation to other variables that affect each of us, as citizens and as savers.
Inflation distributes purchasing power from one category to another, with distorting effects on the system. However, we can try to build investment portfolios that aim to mitigate the erosion of our savings, through asset allocation and financial instruments capable of protecting real capital from the long-term effects of inflation and the uncertainty of its trend.


Thursday 19 May    12:30 - 13:30    BALCONATA1

How to deal with strange markets

Markets apparently seem at their own mercy and devoid of direction. They actually follow a simple, though difficult to interpret, pattern. Let's see which one.


Thursday 19 May    14:00 - 15:00    BALCONATA1

Sentiment Indicators to improve Analysis and Operations

Identifying a trend is the main task of Technical Analysis, which is the foundation of sentiment. In this article we will see some indicators related to the variables time, price, volume and also other indicators related to the world of Options, which can improve the accuracy in the analyzes and in everyday operations.


Thursday 19 May    14:00 - 15:30    GREEN

Investment certificates: flexibility in volatile markets and rising inflation.

14:00 - Introduction to certificates by Giovanna Zanotti - ACEPI
15:00 - Practical cases 2 inflation linked payoffs: gold (step up) and equipped basket (athena) by Michele Fanigliulo - Intermonte
15:15 - The secondary market edited by Emanuele Grasso - Borsa Italiana


Thursday 19 May    14:00 - 15:00    SALA CONVEGNI

Flow analysis and intermarket analysis for intraday and position trading

With VOLCHARTS ©, the importance and technical value of Flow Analysis and its operating protocols for intraday operations and position trading will be reaffirmed, to maximize the operating conditions offered by the market in line with the intermarket analysis.


Thursday 19 May    14:00 - 15:00    AGORA

The narrow way. Inflation, recession or both in 2022 of the economy and markets?

The war stimulated inflation and held back growth. Central banks are in trouble and forced to make a dramatic choice between the two evils to fight. What will the markets discount in the second half of 2022?


Thursday 19 May    14:00 - 15:00    BALCONATA2

Rise in interest rates and depreciation of government bonds: the defense weapons of the trader and the investor

The bond market fell hand in hand with the equity market, putting investors' portfolios in crisis. What are the weapons in the trader's possession, for the short term, and which ones for the medium investor, in order to protect portfolios and diversify in the best possible way? we will see it in detail in this unmissable seminar


Thursday 19 May    15:30 - 16:30    BALCONATA1

Inflation and central banks: everything that has happened and will happen on the financial markets

Outlook for 2022 on bonds, indices, gold, oil and eur / usd


Thursday 19 May    15:30 - 16:30    BALCONATA2

Educate on current markets, for future economic stability

In terms of financial education, Italy ranks second to last among the G20 countries and last among the G7 countries.
The data in itself extremely worrying, is even more serious if the new generations are taken into consideration, who suffer from an enormous lack of financial bases compared to their peers in other European countries.

From the data collected by the Edufin Committee, in collaboration with Doxa, it emerged that citizens in possession of basic financial education, better overcome the repercussions of the pandemic. economic stability (and freedom) over the years, it is necessary to know basic factors such as inflation, diversification, compound interest.

During the conference Marco Scioli (president and co-founder of Starting Finance) and Giovanni Cuniberti (adjunct professor School of Management and Economics - University of Turin) will deal with the problem of financial education, with a strong focus on current markets and on the knowledge and tools to be explored in order to face the moments of turbulence that 2022 is presenting.


Thursday 19 May    15:30 - 16:30    AGORA

The great culture of options for better risk control.

Options in times of high market volatility: greater exposure or greater opportunity? A trading system suitable for managing any type of situation with a low risk model and constant historical return.


Thursday 19 May    15:30 - 16:30    SALA CONVEGNI

Speculative Trading, Defensive Trading, some examples

Watching the market: how to detect operational messages and how to maximize the return and mitigate the risk of any medium and long-term equity investment portfolio using simple option strategies.


Thursday 19 May    15:30 - 16:30    AREA SCAVI

Geopolitics and stagflation: what will happen on the financial markets in the second half of the year?

Geopolitical tensions and central bank interventions, in the wake of inflation which remains at the highest levels of recent decades, have changed the dynamics of supply / demand and price sensitive news in recent weeks. What are the investment strategies to be adopted on the financial markets to protect the capital?


Thursday 19 May    15:45 - 16:45    GREEN

Democratization of the trading and the investment community

Tens of millions of new retail users have started trading throughout the world in the past few years: what should they look forward to, and what can veterans in the business do to educate them to be successful? Peter Tuchman, famous NYSE professional trader, will talk about the democratization of the investment and trading community. 


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