Excellence is Brasil Plural's Asset Management overriding objective, enhancing consistent returns, by means of a comprehensive fundamental study and an active management policy. It seeks to outperform the market by investing in a wide range of assets, themes and strategies, always respecting the policies established in funds regulations.

  • RISK


    Recognizing that long-term returns correlate significantly with the ability to limit short-term losses, Brasil Plural's Asset Management keeps a strict risk management policy, which is actively controlled by executive committee not involved in the management, avoiding conflicts of interest.



    Proximity to investors is Brasil Plural's top priority, which combines a strong performance culture to a differentiated client service. The company's partners invest in all our funds, forming a close alignment of interests.