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The main objective of the fund is to work towards providing to its shareholder the valuation of their shares, applying for financial assets and using derivative instruments, as provided in the portfolio. The fund is classified as a "multimarket fund" and your portfolio involves several risk factors, without a commitment to focus on any particular factor or factors other than those classes of the legislation.
Name | Title | Since | Until |
---|---|---|---|
Daniel Pegorini | CEO | 2009 | Now |
Biography | Auditor na Price Waterhouse de 1993 a 1996 atuou no Banco Garantia / Credit Suisse First Boston de 1996 a 2002 em Capital Markets. Sócio-Fundador da Valora, onde atuou por 7 anos em operações de reestruturação e recuperação de empresas e estruturação de operações financeiras. Desde 2009 lidera a Valora Gestão de Investimentos. Daniel é administrador de empresas pela EAESP da Fundação Getulio Vargas (FGV). |
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