Profile
Marise Reis de Freitas is currently the Head of Fixed Income & Credit Funds at BB Gestão de Recursos DTVM SA.
Former positions of Marise Reis de Freitas
| Companies | Position | End |
|---|---|---|
BB Gestão de Recursos DTVM SA
BB Gestão de Recursos DTVM SA Investment ManagersFinance BB DTVM is an active, research-based manager which administers the resources of Banco do Brasil’s clients following strategic guidelines based on scenarios, economic trends and national and international politics. The firm performs fundamental analysis to research fixed-income and equity opportunities. Committees decide the alternative asset allocation, assess portfolio operations, evaluate the capital market, focus on managing investment funds and portfolios, define the instruments and managerial control and explore new business opportunities. BB DTVM manages risk utilizing Value at Risk, calculated using the historical simulation method to estimate the maximum potential loss. They also design stress scenarios to evaluate their portfolio under extreme market conditions. | Economist | 01/01/2008 |
Experiences
Positions held
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Inactive
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Private companies
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1st degree connections
1st degree companies
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Members of the board
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Linked companies
| Private companies | 1 |
|---|---|
BB Gestão de Recursos DTVM SA
BB Gestão de Recursos DTVM SA Investment ManagersFinance BB DTVM is an active, research-based manager which administers the resources of Banco do Brasil’s clients following strategic guidelines based on scenarios, economic trends and national and international politics. The firm performs fundamental analysis to research fixed-income and equity opportunities. Committees decide the alternative asset allocation, assess portfolio operations, evaluate the capital market, focus on managing investment funds and portfolios, define the instruments and managerial control and explore new business opportunities. BB DTVM manages risk utilizing Value at Risk, calculated using the historical simulation method to estimate the maximum potential loss. They also design stress scenarios to evaluate their portfolio under extreme market conditions. | Finance |
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