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The FUND is classified as multimarket, according to current regulations, given that its investment policy involves several risk factors, without the commitment of concentration in any particular factor or factors different from other existing classes. The FUND aims to achieve capital gains through market operations of interest, foreign exchange, equities, commodities and debt, using the instruments available both in the spot markets and in derivatives markets. The FUND will operate primarily in financial and capital markets in Brazil and may also act in the financial and capital abroad, in all these markets the FUND may be used, among other mechanisms to hedge, arbitrage transactions with derivatives and active strategies to achieve their goals. The exposure of the FUND will depend, among other factors, liquidity and volatility of the markets in which is acting.
Name | Title | Since | Until |
---|---|---|---|
Not Disclosed | - | 2013 | Now |
Emerson Codogno | Portfolio Manager | 2010 | 2013 |
Biography | Graduado em engenharia de produção pela Escola Politécnica de São Paulo, USP (1996), com pós-graduação em Risco e Gestão pela Yale School of Management. Iniciou sua carreira na mesa proprietária de câmbio do Banco BBM em 1996. Transferiu-se para a Itaú Asset Management em 2006, onde atuou na gestão de renda fixa e câmbio dos fundos Itaú Hedge e Itaú Hedge Plus e de onde saiu em 2010 para fundar a Kapitalo Investimentos. Retornou à Itaú Asset em 2013 e seguiu atuando na gestão dos multimercados, em conjunto com André Raduan e Mariano Steinert até o início de 2020. |
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