Daniel Piccoli

Quantitative Portfolio Manager at 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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  • Quantitative Portfolio Manager

    June, 2020 - present