Santander Asset Management
Daniel Piccoli, CFA, is currently a Quantitative Portfolio Manager at Santander Asset Management. Prior to their current role, Daniel co-managed delta one and arbitrage strategies at Kapitalo Investimentos. Daniel also has a background in risk management, having worked at Itaú Unibanco as a Risk Specialist II and developed a web system for monitoring fund performance. Additionally, Daniel has experience as a Credit Analyst at Banco Pine and as an Analyst at Banco BBM. Daniel holds a Master's Degree in Economics from FGV - Fundação Getulio Vargas and an Engineer's Degree in Computer Engineering from Instituto Militar de Engenharia.
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Santander Asset Management
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We are an international asset manager with strong local roots in Europe and Latin America. With presence in 11 countries, we have assets of more than €200 billion* working for institutional clients, individual clients, and intermediaries such as Santander banks in all geographies. Our knowledge in Latin America makes us real experts on the region, allowing us to provide you with unique opportunities to invest. Our philosophy is to manage our investments to capture maximum upside but also downside protection. We offer a comprehensive range of investment solutions, from investment funds to illiquid assets, to provide right answers to your needs.