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O objetivo do FUNDO é aplicar seus recursos em ativos financeiros de diferentes naturezas, riscos e características, definindo as estratégias de investimento com base em cenários macroeconômicos de médio e longo prazo, sem o compromisso de concentração em nenhum ativo ou fator de risco em especial, buscando rentabilidade superior a variação do CDI, observado que a rentabilidade do FUNDO será impactada em virtude dos custos e despesas do FUNDO, inclusive taxa de administração.
Nome | Título | Desde | Até |
---|---|---|---|
Mario Schalch | Founding Partner | 2007 | Agora |
Biografia | Mario is a founding partner of NEO Investimentos, responsible for coordinating the Yield Curve and FX strategies for the multi-strategy hedge funds.Mario began his career at ABN-Amro’s back-office in 1996. In 1997, he joined Banco Patrimônio de Investimentos’ Asset Management department, where he elaborated and executed investment strategies for local fixed income, equities, foreign debt, FX and interest rate derivatives. In addition, Mario developed models and systems to aid in the control of positions and risk management of the bank’s funds. In 2000, now at Chase Manhattan Bank, he joined the derivatives and quantitative research department, where he was responsible for stock option trading, as well as developing arbitrage strategies in different markets.Mario graduated with a degree in Industrial Engineering from the Escola Politécnica at Universidade de São Paulo (USP). | ||
Marcelo Navarro Soares Cabral | Founder, Portfolio Manager, Partner | 2007 | 2020 |
Biografia | Marcelo is a founding partner of NEO Investimentos, head of the Volatility strategy of the multi-strategy hedge funds.Marcelo began his career at Banco Francês e Brasileiro’s trading desk in 1994. In 1995, he joined the asset management department at Banco Patrimônio de Investimentos, where he specialized in derivatives, mathematical modeling and risk management. At J.P. Morgan Fleming Asset Management, he was in charge of the derivatives department, where he was responsible for managing hedge-funds. During this time, Marcelo coordinated the development of risk management and trading systems. Furthermore, he developed asset allocation models and implemented Asset-Liability Management studies for institutional investors.Marcelo graduated with a degree in Business Administration from Fundação Armando Álvares Penteado (FAAP). |
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