The panorama of financial markets in 2026 has reached unprecedented technological maturity and legislation, radically transforming the way in which investors approach online investments. In this context, identifying the best Italian traders is no longer just a curiosity for fans, but a strategic need for anyone who wants to understand the dynamics of an increasingly interconnected and algorithmic market. Online trading, which began its pre-potent rise with the new millennium, has now become a high-profile profession, requiring multidisciplinary skills ranging from macroeconomic analysis to behavioral psychology. Many wonder if it is still possible to generate an adequate income through this activity: the answer lies in the dedication and constant study, elements that unite the profiles of excellence that we will analyze in this guide. It is not about looking for easy gains, illusion now vanished for conscious traders, but to learn from professionals who have been able to navigate the turbulence of recent years. In this post, we will explore the careers and methodologies of the protagonists of the national landscape, analyzing how rigorous application and adaptability have allowed them to emerge in a highly competitive and constantly changing field of technology.
The success of Copy Trading and the protagonists of eToro
Celestino Brunetti and leadership in Social Trading
In the current context, Celestino Brunetti is confirmed as one of the most important figures and followed in the panorama of Italian copy trading. Its rise on leading platforms such as eToro is not the result of the case, but of a meticulous strategy that favours the constancy regarding the search for immediate and risky profit. Analyzing his performance in the four-year period ended in 2026, an overall profit of 81,34% emerges, an impressive figure when compared to an extremely low risk factor, estimated on average in 3 on a scale of 9. Brunetti has been able to capitalize on the opportunities offered by the stock market, focusing on technological giants such as Amazon and Nvidia, but without neglecting an intelligent diversification that includes Forex, raw materials and international indices such as Nasdaq. Its ability to maintain a reduced weekly drawdown makes it the ideal profile for those who approach the world of social trading for the first time, looking for a balanced and sustainable capital growth in the long term.
To fully understand the value of his work, it is necessary to emphasize how Brunetti interprets the market not as a bet, but as a data ecosystem to be interpreted with patience. Its operationality is an example of how constant monitoring of macroeconomic variables can result in timely and effective investment decisions. Being the most copied Italian trader does not only mean having excellent numbers, but also knowing how to communicate their vision to the community, explaining the reasons behind each entry or exit from the market. This educational approach has allowed thousands of retail investors to learn the rudiments of portfolio management by real time observing the moves of a professional. In 2026, its figure represents a point of reference for anyone who wants to approach stock trading with a method that balances ambition and prudence, avoiding the traps of excessive volatility that often characterize less experienced investors.
Roberto Anzellotti and the method of Il Matematico
Another fundamental pillar of contemporary Italian trading is Roberto Anzellotti, universally known in the financial community with the nickname of Il Matematico. His training as a computer engineer has profoundly influenced his operating style, based on a ferreous discipline and risk management that leaves no room for emotionality. Anzellotti closed the last four years with an extraordinary profit of 175%, a result that places it at the top of the world performance charts. Despite a slightly higher risk factor than Brunetti, attested to 5 out of 9, his weekly drawdown of 5.61% demonstrates an outside capacity to contain losses even during the phases of correction of markets. Its strategy is hybrid and moves with agility between the traditional stock market and the most dynamic of cryptocurrencies, demonstrating that a solid analytical base can be successfully applied to different asset classes.
What distinguishes Anzellotti is the scientific approach to the construction of the portfolio. Every operation is the result of rigorous quantitative analysis, aimed at maximizing the expected performance by minimizing exposure to unexpected events. This method attracted the interest of many investors who try to replicate its logic through copy trading, benefiting from its experience in deciphering complex signals in often volatile markets. Anzellotti perfectly embodies the evolution of the modern trader in 2026: a professional who integrates technological skills and strategic vision. His career is the tangible proof that mathematics and logic, if applied with constancy, can overcome the pure intuition, offering a solid basis on which to build a successful financial career. Its constant presence in the rankings of the best Italian traders testifies to the validity of an approach that puts the protection of the capital in the first place, without sacrificing performance of the highest level.
- Celestino Brunetti: Focus on tech actions and indices with low risk profile.
- Roberto Anzellotti: Mathematical approach with high returns between actions and crypto.
- Alberto Poli: Medium-long term operation with focus on global indices.
- Andrea Aceto: Conservative management with controlled drawdown and moderate risk.
The universe of cryptocurrencies and the highest national experts
New digital borders with Bitpanda and industry leaders
Since 2009, the year of Bitcoin genesis, the cryptocurrency market has stopped being a niche for encryption experts to turn into an essential component of any modern investment portfolio. In 2026, the maturity of this sector is guaranteed by strict regulations such as the MiCAR (Markets in Crypto-Assets Regulation), which provided a secure legal framework for European operators. Platforms like Bitpanda have become the reference point for over 6 million users, offering access to more than 3,000 digital assets in a regulated and transparent environment. Security has become the key pillar, with licences obtained by the main supervisory authorities, including the German BaFin. In this scenario, Italian traders specialized in digital assets had to elevate their quality standards, from simple speculators to real experts in blockchain infrastructure and on-chain market dynamics.
Operating successfully in the crypto sector today requires a deep understanding not only of price trends, but also of the underlying protocols. Bitpanda has facilitated this process by offering intuitive interfaces and transparent transaction costs, allowing less experts to start with minimum deposits of only 10 euros. However, they are professional traders making a difference, using advanced staking and trading tools with leverage to optimize returns. Transparency of commissions and ease of deposit through channels such as PayPal or Apple Pay have knocked down barriers at the entrance, but the real challenge remains the management of volatility. The best interpreters of this market in Italy are those who have been able to integrate the fundamental analysis of cryptographic projects with an impeccable risk management, protecting profits during market cycles and maximizing revenue during the phases of frantic expansion typical of altcoin.
Marco De Lio and specialization in Solana
Among the names that shine in the signing of the Italian crypto trading, Marco De Lio occupies a position of absolute preminency. His specialization in Solana did school, allowing him to ride the massive adoption of this high-performance blockchain. De Lio is not limited to trading assets; he analyzes the ecosystem, transaction volumes and development of decentralized applications to anticipate price movements. With a cumulative profit in the last four years of over 500%, its figure became legendary after the 393% result obtained in 2021, a performance that has been able to consolidate and defend in the following years. Its approach, while operating in a volatile market, tends to be conservative, seeking surgical inputs on Bitcoin and Ethereum to balance the most aggressive exposure on emerging altcoins.
De Lio’s experience teaches that in the world of cryptocurrencies technical knowledge is the only real shield against losses. He devotes most of his time to the study of white papers and network metrics, an invisible but essential work to distinguish solid projects from temporary modes. In 2026, its methodology is considered a standard for those who want to approach crypto with professional seriousness. Despite the speculative nature of many digital assets, De Lio demonstrates that it is possible to maintain a constancy of performance through intelligent diversification and constant monitoring of institutional capital flows. Its ability to triple initial investments on specific assets is not the result of luck, but of an analysis of market cycles that few other traders in Italy managed to replicate with the same effectiveness and temporal precision.
- Basic analysis: Study of blockchain protocols and token utilities.
- Volatility monitoring: Drawdown management through dynamic stop-loss.
- Asset diversification: Balance between Bitcoin, Ethereum and high-potential altcoin.
- Using Adjusted Brokers: Choice of secure platforms such as Bitpanda or eToro.
- Constant update: Study of the normative and technological evolutions of 2026.
Traditional investments: Shares, ETFs and Forex in 2026
Marco Casario and Trading Algoritmico
When talking about traditional markets, Marco Casario immediately evokes excellence in algorithmic and quantitative trading. With a solid experience gained as senior traders at prestigious banking institutions, Casario has been able to democratize access to complex strategies that were once reserved exclusively for large investment funds. Its approach is based on the elimination of the emotional component through the use of software and mathematical models capable of processing huge amounts of data in fractions of a second. In 2026, its portfolio is a diversification model, with a clear prediction for Actions and ETFs, tools that allow it to capture global economic growth by limiting exposure to individual negative corporate events. Its ability to predict market trends through the study of monetary flows makes it one of the most authoritative and followed disseminators in Italy.
The methodology of Casario is not limited to the mechanical execution of orders, but includes a deep understanding of market psychology. He argues that the algorithm is only the final tool of a strategic vision that must be fed by constant macroeconomic knowledge. Many investors today use brokers like Trade Republic to replicate its philosophy based on accumulation plans (PAC) and low-cost ETFs, trying to build wealth over time. Casario has shown that, even in an age dominated by artificial intelligence, the sensitivity of the expert trader in setting parameters and in understanding the geopolitical context remains an irreplaceable added value. His career is an invitation to continuing education, suggesting that lasting success in online trading necessarily passes for a holistic understanding of finance, combining technology and classical analysis.
Andrea Unger: the World Trading Champion
Andrea Unger represents a unique case in the history of Italian finance, being the only trader to have won for four times the prestigious World Trading Championship with real money. Its worldwide fame is linked to an extraordinary ability to manage risk under extreme stress conditions, maintaining a clarity that allowed it to dominate markets for over a decade. Through his Unger Academy, Andrea teaches that trading is not a bet, but a business that must be managed with precise and verifiable plans. Its operation is mainly focused on indices and Forex, markets that offer the liquidity necessary to apply its diversification systems. Unger promotes a conservative approach, where the protection of capital is always priority over the spasmodic research of gain, a philosophy that made it an icon for generations of traders.
In 2026, Unger's figure continues to influence how professionals build their own operating systems. Its insistence on the statistical validation of each strategy has become a dogma for anyone who wants to avoid bankruptcy in trading. He prefers to operate on high-capitalization assets, avoiding uncontrolled volatility of small caps or markets too thin. His career proves that constancy and methodological rigor are superior to any intuition ingenious but isolated. Participating in the markets following the teachings of Unger means accepting that losses are part of the game, but that proper management of the same is what separates the winners from the losers. His legacy in the Italian landscape is immense, having transformed trading from dark activity to scientific discipline accessible to anyone who has the will to study and apply with the necessary professional seriousness.
Online trading is not a rush towards easy wealth, but a marathon where winners can better manage their emotions and their capital during financial storms.
Advanced strategies and operating risk management
The importance of Drawdown and volatility
One of the most critical, but often neglected aspects, in professional trading of 2026 is the concept of drawdown. As widely explained by the best experts, the drawdown measures the negative trend of an investment compared to its maximum peak before a recovery. Understanding this value is fundamental to assess the real goodness of a strategy: a 50% profit has a very different value if obtained with a 5% drawdown compared to one of 40%. The best Italian traders, such as those analyzed in this guide, make the reduction of the “sofference” of the portfolio their primary objective. Working with a low drawdown allows you to maintain the psychological clarity necessary to make rational decisions, avoiding the panic that often leads to the premature closure of potentially winning positions or, worse, to the excessive increase of exposure in an attempt to recover losses.
In the context of modern markets, volatility can be both an ally and an oath enemy. Successful traders use advanced technical analysis tools to identify volatility regimes and adapt the size of their positions accordingly. For example, Arnaldo Luca Gisi is known for his ability to operate with profit even during long periods of low volatility, making patience his main weapon. This type of approach requires a strict discipline, as it pushes the investor to wait for the perfect moment instead of forcing random revenue on the market. Operational risk management in 2026 also passes through the use of technologies that allow you to set stop-loss and take-profit automatic on regulated brokers, ensuring that the trading plan is respected even in the absence of constant monitoring in front of the screen.
Diversification between different asset classes
Diversification remains the only “free zone” in finance, and the best Italian traders make it a masterful use. In 2026, it is no longer enough to be experts in one market; the correlation between shares, cryptocurrencies, currencies and raw materials requires a comprehensive view. A balanced portfolio could include global stock ETFs for long-term growth, risk-covering options and a digital asset component to capture technological innovation. Traders like Gabriele Belelli have built their reputation on the ability to analyze both corporate fundamentals and macroeconomic dynamics, offering advice that goes beyond the simple sign of purchase. Diversify means reducing specific risk and protecting yourself from sudden shocks that could affect a single sector or a single geographical area.
Another example of intelligent diversification is offered by those who combine intraday trading with long-term investment. Marco Tosoni, after starting with fast operations that closed during the day, gradually passed to Swing trading and multi-year investments. This allows to balance the need to generate immediate cash flows with the creation of wealth over time through the composite interest. The choice of the broker plays a crucial role: eToro is ideal for those seeking social interaction and copy trading in Forex, while Trade Republic stands out for the efficient management of ETF storage plans. Ultimately, the winning strategy in 2026 is the one that can adapt to the different stages of investor life, ensuring flexibility and security in an increasingly complex and dynamic financial world.
- Geographical diversification: Exhibition on US, Europe and Emergency markets.
- Asset Allocation: Balance between shares, bonds and gold.
- Emotional Management: Use of trading journals to monitor psychological reactions.
- Capital protection: Maximum risk rule of 1-2% per single operation.
Choose the right broker: Security and Commission
Fundamental requirements for operating in 2026
The choice of the trading platform is a fundamental step that can determine the success or failure of an investor. In 2026, security is no longer an option but a prerequisite guaranteed by MiFID II and MiCAR licenses. A reliable broker must not only offer competitive commissions, but also a total transparency on the management of customer funds, which must be kept in segregated accounts at primary banking institutions. Bitpanda, for example, made regulatory compliance with its strength, obtaining over 15 European licenses. This ensures users that their assets are protected from any insolvency of the platform and that operations are carried out according to the highest market standards. Moreover, the ease of withdrawal and availability of multilingual customer support are factors that weigh significantly in the overall assessment of an investment service.
In addition to security, the modern investor seeks cutting-edge technological tools. Simple apps for Android and iOS, real-time graphics and integration with third-party analytics tools are now the standard. Broker as eToro also offer exclusive benefits, such as the possibility for new members to receive free assets up to $500 at the time of the first deposit, encouraging the entry of new capital into the market. However, you should not be blinded only by bonuses: it is essential to analyze the spread (the difference between purchase price and sale) and any overnight fees. An active trader carrying out numerous operations per day must pay much attention to fixed costs, which in the long term could erode a significant part of profits. The comparison between the different brokers must therefore take into account their operating style and the assets that you intend to negotiate with greater frequency.
The evolution of platforms: from Trade Republic to Bitpanda
Technological evolution has led to the emergence of specialized brokers that meet specific needs. Trade Republic has imposed itself as a leader for those who want to invest simply and automatically in ETFs and stocks, offering an extremely advantageous cost structure for those who practice the “buy and hold”. On the other hand, for those seeking exposure to the world of cryptocurrencies and precious metals, Bitpanda offers unparalleled flexibility, allowing you to exchange assets 24 hours a day, 7 days a week. This specialization allows traders to build a custom instrument ecosystem, using different platforms depending on the financial target set. In 2026, interoperability between different accounts and ease of liquidity transfer through instant payments made the management of personal assets much smoother than the past.
Finally, we must not forget the importance of training provided by the brokers themselves. Many platforms today offer integrated academies, webinar with experts and demo accounts to practice without risking real capital. This educational approach is essential to reduce the rate of abandonment between new traders and to promote a healthy financial culture. Before investing real money, it is always advisable to test their strategies in a simulated environment, learning about the peculiarities of the chosen platform. The choice of the broker in 2026 is therefore an act of responsibility that requires time and research, but which lays the foundations for a successful career in financial markets, allowing you to operate with the serenity necessary to face the daily challenges of professional online trading.
Frequently Asked Questions about the best Italian traders
Who are currently the most profitable traders in Italy?
The most profitable traders in Italy in 2026 are professionals who have been able to adapt to market digitization. Among the top names are Andrea Unger for his enviable constancy in futures markets, Marco Casario for excellence in algorithmic trading and Roberto Anzellotti, known as Il Matematico, for his returns in the crypto sector. Profitability is not only linked to the percentage of gain, but to the ability to maintain such results in the long term minimizing risk.
How can you start copying the best Italian traders?
To start replicating professional operations, the most accessible solution is the Copy Trading offered by platforms like eToro. After opening and checking an account, you can navigate among the rankings of Popular Investor, filtering by return, risk level and drawdown. Once you choose the desired profile, you just have to decide the amount to invest; the system will automatically replicate each operation in real time, proportionally to the allocated capital.
What are the main risks of online trading today?
The main risk remains the loss of capital invested due to the volatility of markets or inadequate strategies. In 2026, cybersecurity risks are added to this, which is why it is essential to use only regulated brokers and activate two-factor authentication. In addition, excess financial leverage can lead to forced closing of positions. Awareness of its limits and continuing education are the best defenses against these financial dangers.
Is it possible to live trading in 2026 in Italy?
Yes, you can live trading, but it requires a significant initial capital and a ferreous discipline. It is not a way to make money easy, but a real job that requires hours of analysis and updating. Most successful traders started with small amounts, building their portfolio gradually. It is essential to have a separate emergency fund and never invest money that you cannot afford to lose.
What are the best cryptocurrencies to invest in this year?
In 2026, Bitcoin and Ethereum remain the pillars of each crypto wallet due to their stability and institutional adoption. However, experienced traders like Marco De Lio have also achieved excellent results with Solana and other new generation protocols that offer high scalability. It is important to do in-depth research on Bitpanda or other regulated platforms before investing in less-known altcoin, carefully evaluating the underlying project and the volume of real exchanges.
In conclusion, the world of online trading in Italy in 2026 offers unprecedented opportunities for those who are willing to study and follow the example of the best professionals in the industry. Whether it's copy trading, cryptocurrency investments or traditional stock and ETF strategies, the key to success lies in a balanced mix of prudence, technology and rigorous analysis. Always remember that past performance does not guarantee future results and that risk management must be your top priority. If you want to take this path, start training yourself today and carefully choose your financial partners to build a solid and conscious future in global markets. Learn how industry leaders work daily and start investing with intelligence.






