David  Bagnani

Corporate Biography

David Bagnani is a portfolio manager for Fidelity Investments. David is also research analyst for institutional separate accounts, responsible for the investment of high-yielding commercial mortgage-backed securities (CMBS). In his role, David oversees U.S. CMBS for Fidelity Monthly Income Fund for Canadian investors.

Before assuming his current position, David was a research analyst responsible for real estate collateral and bond analysis of CMBS. David’s 16 years of real estate experience includes property management, acquisitions, consulting and due diligence.

Before joining Fidelity in 1994, David was a senior consultant in Coopers & Lybrand’s Real Estate Advisory Group, where he provided services to public and private clients in strategic management, valuation and dispositions. David also coordinated the real estate valuation on several commercial mortgage securitizations with a combined balance in excess of $1.5 billion. Before that, he was a financial analyst with a real estate management company in Los Angeles, where he managed a portfolio of 20 properties.

David received a BSc from the University of Santa Clara and an MBA from Boston College.

577431.1.0