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The fund's objective is, through a portfolio of different investments, to provide a slightly superior to traditional fixed income instruments profitability. To do so, the fund must purchase shares of mutual funds available in the market to maximize its relation risk / return.
Name | Title | Since | Until |
---|---|---|---|
Fabiano Rios | Lead Portfolio Manager | 2015 | 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). |
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