Franco Montoro e Peixoto Advogados Associados is a traditional law firm whose roots trace back to former São Paulo State Governor and emeritus professor Doctor André Franco Montoro (1916-1999). The firm has qualified professionals in the most diverse fields of law, with an outstanding practice of banking and securities law. Throughout its history, Franco Montoro e Peixoto has advised many foreign companies in establishing investment assets in Brazil, always excelling in its service quality and efficiency.
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Impar Capital is a FinTech providing investment tools and content and facilitating knowledge exchange within its investor community. Our current platform offers individual investors an automatic consolidation and quotation tool comprising all investment products available for the Brazilian retail market, the listing of all fixed-income securities available for this segment, as well as a venue for information sharing among our user base. We are constantly developing new functionalities and will provide our investor community with more features soon.
For more than 40 years, MSCI’s research-based indexes and analytics have helped the world’s leading investors build and manage better portfolios. Clients rely on our offerings for deeper insights into the drivers of performance and risk in their portfolios, broad asset class coverage and innovative research. We have a highly flexible business model that enables clients to select the individual products and services they need and integrate them into their own investment processes and methodologies. Asset owners use our research, data, indexes and multi-asset class risk management tools to determine whether the managers they hire are delivering appropriate risk-adjusted returns. Chief investment officers use our extensive, high-quality data to develop and test investment strategies. They also use our models and performance attribution tools to understand the drivers of return in their portfolios. Active managers rely on our factor models, data and portfolio construction and optimization tools to build portfolios and keep them aligned with their investment objectives. Passive managers use our index data, equity factor models and optimizer to construct their index funds and ETFs. Chief risk officers choose our risk management systems to understand, monitor and control risk in the portfolios they are safeguarding.
Uncertainties and risks generate opportunities for higher returns. In order to convert these opportunities into effective returns for its investors, Planner Redwood executes its investment management through differentiated products and strategies (proprietary models) geared to Institutional Investors. It has a qualified team with vast experience that focuses on the specific needs of its investors in accordance with their profiles and individual characteristics.
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