Profil
Mr. Elson Teles is an Economist at Itaú BBA SA.
He was previously employed as Chief Economist by Boreal Bank, Economist-Partner by Fides Asset Management, Chief Economist byConcórdia Brokers and Maxima Asset Management SA. in 2010.
During his professional career, Mr. Elson specialized in inflation analysis and monetary policy.
He began his career in 1987 working as Macroeconomic Analyst at Icatu Bank.
Mr. Teles holds a BA degree in Economics from Fluminense Federal University and an MA degree in Finance from FGV-RJ and in Economic Trend Analysis from UFRJ University.
Anciens postes connus de Elson Teles
| Sociétés | Poste | Fin |
|---|---|---|
Itaú BBA SA
Itaú BBA SA Investment ManagersFinance Provides investment research | Economiste | 01/02/2019 |
Máxima Asset Management Ltda.
Máxima Asset Management Ltda. Investment ManagersFinance Máxima Asset is an active, third-party asset manager which aims to provide value-added asset management services to clients that yield medium-term results. They perform fundamental macroeconomic analysis to manage funds and select shares that compose the fund portfolios. The firm's Investment Committee meets regularly to evaluate macroeconomic, political and market conditions. A specialist team then outlines the asset allocation strategies aimed at yield maximization and risk reduction. They construct diversified portfolios composed of companies that stand out or excel in a particular industry. Máxima Asset utilizes value-at-risk metrics and stress testing to keep close control on the leverage of their positions, market exposure and loss analysis and the continuity or critical points in macroeconomic scenarios. | Economiste | - |
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Sociétés liées
| Entreprise privées | 2 |
|---|---|
Máxima Asset Management Ltda.
Máxima Asset Management Ltda. Investment ManagersFinance Máxima Asset is an active, third-party asset manager which aims to provide value-added asset management services to clients that yield medium-term results. They perform fundamental macroeconomic analysis to manage funds and select shares that compose the fund portfolios. The firm's Investment Committee meets regularly to evaluate macroeconomic, political and market conditions. A specialist team then outlines the asset allocation strategies aimed at yield maximization and risk reduction. They construct diversified portfolios composed of companies that stand out or excel in a particular industry. Máxima Asset utilizes value-at-risk metrics and stress testing to keep close control on the leverage of their positions, market exposure and loss analysis and the continuity or critical points in macroeconomic scenarios. | Finance |
Itaú BBA SA
Itaú BBA SA Investment ManagersFinance Provides investment research | Finance |
















