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It is an investment fund in multimarket investment that seeks returns above the CDI in the long term through active management, mainly in interest rate markets, foreign exchanges and stock markets, both domestic and international. To achieve its objectives, the fund will seekstrategy relationships with a favorable risk-return, based on the assessment of local and global macroeconomic scenarios. Thus, the experience of managing these markets and supporting the research area are relevant and complementary inputs for decision making.
Name | Title | Since | Until |
---|---|---|---|
Fabiano Rios | Lead Portfolio Manager | 2013 | Now |
Biography | Partner, Portfolio Manager and CIO of the Equity Hedge/Arbitrage products. BA degree in Business Administration – FGV/SP, Brazil. Joined Claritas in 2009. Previous Experience: Co-founder and responsible for an Asset Management Business (2008 – 2009), Responsible for structuring the Strategic Risk Group, a proprietary hedge fund within Merrill Lynch (2007 – 2008) and became Head of Equity and Co-Head of FX Desk at Banco Santander (1997 – 2007). | ||
Leonardo Breder | Head | 2013 | Now |
Renato Botto | Portfolio Manager | 2013 | Now |
Felipe Fiel | - | 2013 | Now |
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