Profil
Franco Fava is currently working as a Financial Analyst & Assistant Portfolio Manager at Innealta Capital LLC since 2019.
He completed his graduate degree from Pontificia Universidad Católica de Valparaíso in 2018 and his undergraduate degree from the same university in 2016.
Aktive Positionen von Franco Fava
| Unternehmen | Position | Beginn |
|---|---|---|
Innealta Capital LLC
Innealta Capital LLC Investment ManagersFinance Innealta Capital offers a diverse range of investment strategies, including fixed income, equity, and global multi-asset class solutions. Though each portfolio and the strategies that define them are distinct in design, all are rooted in the firm’s broader goal of achieving optimal risk-relative returns over longer-term investment horizons. Their investment strategies employ ETPs, primarily ETFs, to construct portfolio strategies that seek to outperform their benchmarks on a risk-adjusted basis through diversification, active management, style integrity, minimized security selection risk, trading and cost efficiency. | Analyst-Equity | 01.04.2019 |
Ausbildung von Franco Fava
Erfahrungen
Besetzte Positionen
Aktive
Inaktive
Börsennotierte Unternehmen
Private Unternehmen
Beziehungen
Beziehungen ersten Grades
Unternehmen ersten Grades
Herr
Frau
Aufsichtsräte
Führungskräfte
Unternehmensverbindungen
| Private Unternehmen | 2 |
|---|---|
Pontificia Universidad Católica de Valparaíso
Pontificia Universidad Católica de Valparaíso Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Innealta Capital LLC
Innealta Capital LLC Investment ManagersFinance Innealta Capital offers a diverse range of investment strategies, including fixed income, equity, and global multi-asset class solutions. Though each portfolio and the strategies that define them are distinct in design, all are rooted in the firm’s broader goal of achieving optimal risk-relative returns over longer-term investment horizons. Their investment strategies employ ETPs, primarily ETFs, to construct portfolio strategies that seek to outperform their benchmarks on a risk-adjusted basis through diversification, active management, style integrity, minimized security selection risk, trading and cost efficiency. | Finance |
















