


Renato Eid
Itaú Asset Management
Itaú Asset Management
Itaú Asset Management
Head of Beta Strategies & Responsible Investment at Itaú Asset Management, with over 20 years of experience in the financial market. He has worked at Banco BBA Creditanstalt and Itaú BBA, and holds a degree from FGV, a master's in Mathematical Modeling in Finance from USP, and an MBA in Derivatives from B3. He is a board member of Amec (Association of Investors in the Capital Market), a member of the Interest Rates and Currencies Chamber and the Equities Chamber at B3, and represents Itaú Asset in various ANBIMA forums. He has specializations in Investment and Risk Management from Yale School of Management, Leadership and Innovation from Insead Business School for the World, and a specialization from PRI Academy focused on Advanced Responsible Investment Analysis.
Head of Beta Strategies & Responsible Investment at Itaú Asset Management, with over 20 years of experience in the financial market. He has worked at Banco BBA Creditanstalt and Itaú BBA, and holds a degree from FGV, a master's in Mathematical Modeling in Finance from USP, and an MBA in Derivatives from B3. He is a board member of Amec (Association of Investors in the Capital Market), a member of the Interest Rates and Currencies Chamber and the Equities Chamber at B3, and represents Itaú Asset in various ANBIMA forums. He has specializations in Investment and Risk Management from Yale School of Management, Leadership and Innovation from Insead Business School for the World, and a specialization from PRI Academy focused on Advanced Responsible Investment Analysis.
Head of Beta Strategies & Responsible Investment at Itaú Asset Management, with over 20 years of experience in the financial market. He has worked at Banco BBA Creditanstalt and Itaú BBA, and holds a degree from FGV, a master's in Mathematical Modeling in Finance from USP, and an MBA in Derivatives from B3. He is a board member of Amec (Association of Investors in the Capital Market), a member of the Interest Rates and Currencies Chamber and the Equities Chamber at B3, and represents Itaú Asset in various ANBIMA forums. He has specializations in Investment and Risk Management from Yale School of Management, Leadership and Innovation from Insead Business School for the World, and a specialization from PRI Academy focused on Advanced Responsible Investment Analysis.
Head of Beta Strategies & Responsible Investment at Itaú Asset Management, with over 20 years of experience in the financial market. He has worked at Banco BBA Creditanstalt and Itaú BBA, and holds a degree from FGV, a master's in Mathematical Modeling in Finance from USP, and an MBA in Derivatives from B3. He is a board member of Amec (Association of Investors in the Capital Market), a member of the Interest Rates and Currencies Chamber and the Equities Chamber at B3, and represents Itaú Asset in various ANBIMA forums. He has specializations in Investment and Risk Management from Yale School of Management, Leadership and Innovation from Insead Business School for the World, and a specialization from PRI Academy focused on Advanced Responsible Investment Analysis.
Head of Beta Strategies & Responsible Investment at Itaú Asset Management, with over 20 years of experience in the financial market. He has worked at Banco BBA Creditanstalt and Itaú BBA, and holds a degree from FGV, a master's in Mathematical Modeling in Finance from USP, and an MBA in Derivatives from B3. He is a board member of Amec (Association of Investors in the Capital Market), a member of the Interest Rates and Currencies Chamber and the Equities Chamber at B3, and represents Itaú Asset in various ANBIMA forums. He has specializations in Investment and Risk Management from Yale School of Management, Leadership and Innovation from Insead Business School for the World, and a specialization from PRI Academy focused on Advanced Responsible Investment Analysis.
Painéis com o palestrante
Wed, June 25th
15:15
-
16:00
Orange stage
Track
How to promote the ETF market in Brazil?
Categorias
Macroeconomics
Market regulation and self-regulation
ETFs under management worldwide are expected to reach US$18 trillion by 2026, according to PwC estimates. It is a consensus among executives: fixed income, ESG, and cryptocurrency ETFs are a global trend. But what does the future hold for this product in Brazil? And what is needed to promote the trading of this type of fund?
15:15
-
16:00
Orange stage
Track
How to promote the ETF market in Brazil?
Categorias
Macroeconomics
Market regulation and self-regulation
ETFs under management worldwide are expected to reach US$18 trillion by 2026, according to PwC estimates. It is a consensus among executives: fixed income, ESG, and cryptocurrency ETFs are a global trend. But what does the future hold for this product in Brazil? And what is needed to promote the trading of this type of fund?
15:15
-
16:00
Orange stage
Track
How to promote the ETF market in Brazil?
Categorias
Macroeconomics
Market regulation and self-regulation
ETFs under management worldwide are expected to reach US$18 trillion by 2026, according to PwC estimates. It is a consensus among executives: fixed income, ESG, and cryptocurrency ETFs are a global trend. But what does the future hold for this product in Brazil? And what is needed to promote the trading of this type of fund?