Daniel Fejgelman is an Investment Risk Manager at HSBC Investment Funds (Luxembourg) and previously worked as a Lead Data Specialist at Schroders Luxembourg, where they gained extensive experience in data management, portfolio composition, and fund reporting. Daniel has participated in various projects related to regulatory implementation and investment risk, building expertise in fund regulations and risk analysis methodologies. They hold a Master in Business Administration in Business Strategy from the São Paulo School of Business Administration and studied at Duke University's Fuqua School of Business. Currently, Daniel is pursuing the CFA designation and has successfully progressed towards Level II.
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