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About Us

FigTree Capital is an independent asset management firm organized as a partnership. Our team is multidisciplinary and consists of partners with extensive experience and complementary backgrounds in the financial market. Our multidisciplinary approach enables us to conceive and structure unconventional and out-of-the-box solutions for our clients.

Key Executives

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Rogério Boueri 

PhD in Economics from the University of Maryland, Master’s in Economics from FGV/EPGE, and Bachelor’s in Economics from UnB. He is currently a consultant at Sapeba Negócios Agroambientais and a full professor at IDP. He served as Deputy Secretary for Agricultural Policy and Head of the Special Advisory for Economic Studies at the Ministry of Economy, as well as an investment fund manager at Bradesco Asset. He held leadership positions on boards such as Postalis, CNSP, and Caixa Econômica, and was a member of CONAMA and COMOC. In academia, he is a full professor at IDP, a former Finance professor in the Graduate Program in Economics at the Catholic University of Brasília, and a visiting researcher at Copenhagen Business School.

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Celso Arbaji Contin

He has over 20 years of experience in law, focusing on structured financing operations, mergers and acquisitions, and transactions involving real estate assets. Currently, he is a partner at Vieira Rezende Advogados. Recognized among the leaders in his field in Brazil by guides such as IFLR1000, Latin Lawyer 250, Leaders League, and Who's Who Legal. Member of the International Bar Association (IBA). He holds a Bachelor's degree in Law from the University of São Paulo Law School and a Master's degree (LL.M.) in International Financial Law from King's College London.

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Christian Laloe

He has more than 20 years of experience in the Structured Products and Allocation area
He began his career as a Financial Advisor in 2001 at Morgan Stanley
Worked in the Asset Allocation, IR, Products and Advisory area at Banco Fator, Asset at HSBC and Citibank DTVM. He was Superintendent of Distribution of funds and structured products at SulAmérica /ING Investimentos.
Partner responsible for Structured Products and Allocation at 3R Investimentos.
Bachelor of Business Administration/Finance from the University of California

A senior Investment professional with over 20 years Track Record in Emerging Markets. Successfully sourced, executed and managed cross assets in Latin America(debt and equity) and illiquid Special Situation(NPL, PE, Credit). Built a strong network with shareholders, business owners and C-level management in the region.

More recently involved in the Tech sector, in particular Sportech, Fintech and Edtech advising foreign startups to operate and finance themselves in Brazil.

Been advising American/European asset managers and Hedge Funds on how to efficiently allocate capital in Credit&Special Sit in Brazil (sourcing and structuring).

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Oto Roberto Moerschbaecher

He holds a Master's degree in Environment and Development, an MBA in Higher Education Management, and a specialization in Municipal Public Management, with an academic background in Economic Sciences.
With over 20 years of experience in Higher Education Management, he has held positions such as Vice-Rector of Administration and Executive Superintendent, as well as serving on the Board of Directors of Foundations for Educational Institutions as a board member and Vice-President.
Founder and long-time leader, he served as President of Sindiman-RS. In addition to his work in the agribusiness industry, he has extensive experience in Governance and Finance, specializing in the development and implementation of product portfolios to generate alternative revenue sources for educational institutions.

The information contained in this material is strictly for informational purposes only. Investment funds do not have any guarantees from the fund administrator, portfolio manager, any insurance mechanism, or the credit guarantee fund (FGC). It is recommended that investors carefully read the fund's regulations and prospectus before investing their funds. Investors must be prepared to accept the inherent risks associated with the various markets in which the funds operate, which may result in potential fluctuations in invested capital. This fund utilizes derivative strategies as an integral part of its investment policy. Such strategies, as adopted, may result in significant losses for its investors. This fund is authorized to invest in financial assets abroad. Past performance is not indicative of future returns. For more information on personal finance, please visit the ANBIMA financial education portal. “How to Invest”

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Copyright © FigTree Capital 2023

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