Profil
Mr. Bernardo Miranda Carvalho is a Managing Director & Chief Risk Officer at Gávea Investimentos Ltda.
He was previously employed as an Economist by Opus Gestão de Recursos Ltda.
Mr. Miranda Carvalho holds a BA & Master's in Economics from Pontifícia Universidade Católica of Rio de Janeiro.
Postes actifs de Bernardo Miranda Carvalho
| Sociétés | Poste | Début |
|---|---|---|
Gávea Investimentos Ltda.
Gávea Investimentos Ltda. Investment ManagersFinance GIL is an active, research-oriented manager comprised of structured macroeconomic, equity research and quantitative analysis teams which focuses on absolute returns, seeking opportunities throughout asset classes and following investment strategies defined by the Investment Committee. The firm conducts in-house research to invest in the public equity, fixed-income, and hedging markets across the globe with a focus on emerging markets. They primarily invest in bonds, equities, and currencies employing a combination of quantitative and macroeconomic analysis. Their risk management activity emphasizes stress testing and liquidity controls. | Economiste | 01/01/2005 |
Anciens postes connus de Bernardo Miranda Carvalho
| Sociétés | Poste | Fin |
|---|---|---|
Opus Gestão de Recursos Ltda.
Opus Gestão de Recursos Ltda. Investment ManagersFinance Provides investment advice | Economiste | 01/01/2005 |
Formation de Bernardo Miranda Carvalho
Expériences
Fonctions occupées
Actives
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Sociétés cotées
Entreprise privées
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Relations au 1er degré
Entreprises liées au 1er degré
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Sociétés liées
| Entreprise privées | 3 |
|---|---|
Pontifícia Universidade Católica do Rio de Janeiro
Pontifícia Universidade Católica do Rio de Janeiro Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Opus Gestão de Recursos Ltda.
Opus Gestão de Recursos Ltda. Investment ManagersFinance Provides investment advice | Finance |
Gávea Investimentos Ltda.
Gávea Investimentos Ltda. Investment ManagersFinance GIL is an active, research-oriented manager comprised of structured macroeconomic, equity research and quantitative analysis teams which focuses on absolute returns, seeking opportunities throughout asset classes and following investment strategies defined by the Investment Committee. The firm conducts in-house research to invest in the public equity, fixed-income, and hedging markets across the globe with a focus on emerging markets. They primarily invest in bonds, equities, and currencies employing a combination of quantitative and macroeconomic analysis. Their risk management activity emphasizes stress testing and liquidity controls. | Finance |
















