Gustavo Neves

Gustavo Neves is a seasoned financial professional with extensive experience in portfolio management and trading across various asset classes. Currently serving as a Portfolio Manager at Santander Asset Management Brasil since April 2022, Gustavo actively defines strategies and manages fixed income funds and exclusive multi-strategy mandates. Previously, Gustavo held the role of ALM Trader at the Industrial and Commercial Bank of China from January 2021 to March 2022, where responsibilities included managing assets and liabilities, risk control, and pricing treasury products in the Brazilian market. Prior to that, Gustavo was involved in Global Markets Sales & Trading at HSBC from December 2018 to December 2020, assisting in managing large corporate and financial institution portfolios and developing fixed income and derivatives transactions. Gustavo holds a Bachelor of Science in Economics from the School of Economics, Business and Accounting at the University of São Paulo, completed in 2020.

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São Paulo, Brazil

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Santander Asset Management Brasil

A Santander Asset Management (SAM) é a gestora internacional com maior presença no Brasil. Combinando soluções de investimento locais e globais, oferece um portfólio completo de fundos para atender os diferentes objetivos dos nossos clientes: Renda Fixa, Renda Variável, Multimercados, Previdência Privada, Real Estate e Infraestrutura. Com mais de 25 anos de atuação no Brasil, a SAM possui mais de 725 mil clientes dos segmentos Pessoa Física, Pessoa Jurídica e Investidores Institucionais.


Employees

501-1,000

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