Perfil
Ms. Joana F.
Freire is an Economist & Portfolio Manager at Eurizon SLJ Capital Ltd. In addition to her portfolio management duties, she works closely with Mr. Stephen Jen on the macro research publications.
Previously, she was macroeconomic analyst at Millennium Investment Banking in Portugal.
She gained her MSc in economics from the London School of Economics.
She is fluent in Portuguese and Spanish.
Cargos activos de Joana Ferreira Freire
| Empresas | Cargo | Inicio |
|---|---|---|
Eurizon SLJ Capital Ltd.
Eurizon SLJ Capital Ltd. Investment ManagersFinance Eurizon SLJ uses macroeconomic and cyclical analysis models as the basis of its investment perspective and top-down, medium-term tactical decisions (asset, country and asset allocation). This approach is supported by fundamental analysis on listed companies as well as the development and implementation of quantitative models. | Economista | 04/07/2016 |
Antiguos cargos conocidos de Joana Ferreira Freire.
| Empresas | Cargo | Fin |
|---|---|---|
SLJ Macro Partners LLP
SLJ Macro Partners LLP Investment ManagersFinance Provides investment advice | Analista-Renta Fija | - |
Banco Comercial Português SA (Broker)
Banco Comercial Português SA (Broker) Investment Banks/BrokersFinance Provides brokerage services | Analyst-Equity | - |
Experiencias
Funciones ocupadas
Activas
Inactivas
Empresas cotizadas
Empresas privadas
Relaciones
Relaciones de 1er grado
Empresas vinculadas al 1er grado
Hombre
Mujer
Administradores
Ejecutivos
Empresas relacionadas
| Empresas privadas | 3 |
|---|---|
Banco Comercial Português SA (Broker)
Banco Comercial Português SA (Broker) Investment Banks/BrokersFinance Provides brokerage services | Finance |
SLJ Macro Partners LLP
SLJ Macro Partners LLP Investment ManagersFinance Provides investment advice | Finance |
Eurizon SLJ Capital Ltd.
Eurizon SLJ Capital Ltd. Investment ManagersFinance Eurizon SLJ uses macroeconomic and cyclical analysis models as the basis of its investment perspective and top-down, medium-term tactical decisions (asset, country and asset allocation). This approach is supported by fundamental analysis on listed companies as well as the development and implementation of quantitative models. | Finance |
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