Excellence and
professionalism
on a global scale.

We build institutional portfolios that transcend geographic boundaries and market cycles. Equities, fixed income, real estate, venture capital, and private equity: our approach combines predictive macroeconomic analysis with granular due diligence on each asset class. Through our proprietary dynamic allocation models, we integrate global risk scenarios with localized product insights, allowing asset managers and qualified investors to expand their strategic reach without compromising wealth security and tax efficiency.

The Skander differential lies in the fusion of institutional-scale expertise and tailored customization. We combine cutting-edge technological infrastructure with close professional relationships, owner to owner, to be the trusted partners of our investors, whether family offices or companies from the most diverse sectors.

Investing is
more than
seeking
financial
results.

— It’s participating in ventures generating value for our investors and the entire community in which we operate, thus building a legacy of progress and competence. Our investment philosophy combines technical rigor, strategic vision, and commitment to excellence, structured on two fundamental pillars: Deep Research and Dynamic Portfolio Optimization. Each decision reflects our dedication to offering solid and personalized solutions for clients who value quality, security, and sustainability.

1

Deep
research

Foundation for Consistent Decisions

The base of our approach lies in meticulous analysis and the search for long term opportunities. Our analysis process combines macroeconomic variables with the particularities of each instrument, prioritizing consistency and decision clarity.

Investments in assets with solid fundamentals, robust governance, and lasting competitive advantages. Quality is the foundation of our decisions and permeates all choices we make.

We invest with focus on the future, pursuing strategies that endure over time and deliver sustainable returns across diverse horizons. Our commitment is to preserve and grow wealth over decades.

We combine advanced technology and experience to identify trends before they become evident, ensuring our clients are always in perfect harmony with economic, social, and political dynamics.

Our team works in an integrated way, sharing knowledge among specialists from different areas to create robust and innovative solutions.

We are always improving our processes, incorporating new technologies and adapting our strategies to generate and address investment opportunities in the most assertive and consistent way.

2

Portfolio
optimization

Strategic Diversification

We build diversified portfolios that combine different asset classes, sectors, and geographic regions to reduce risks and maximize opportunities in varied economic scenarios, but without losing objectivity. Balance between good assets and diligence.

We continuously monitor markets to adjust exposures with precision, protecting portfolios against unexpected volatility while capturing emerging opportunities. Discipline.

We act quickly in the face of changes in the global market, repositioning assets strategically to ensure the constant alignment with overall objectives.

At Skander, each decision is founded on detailed research, careful analysis, and disciplined management. Our objective is to offer clients an investment experience marked by security, transparency, and consistent results.

The investment process we apply to our products
was developed to meet the highest global management standards.

This process combines rigorous analyses, advanced technological tools, and an integrated approach to optimize asset allocation between fixed and variable income in different international markets. It reflects our experience in managing diversified portfolios adjusted to the risk and return profile expected by our clients.

This process can be implemented in a personalized way for third-party managed portfolios,
including Brazilian institutional investors.

We offer flexibility to customize strategies according to each client’s specific objectives, respecting their investment guidelines and individual preferences. Our commitment is to provide tailored solutions that maximize risk-adjusted return, maintaining close and continuous monitoring of performance and market conditions.

Tailored
solutions

Strategic Asset Allocation

Portfolio scope and objectives.
Approach to be given to each strategy

Macroeconomic Analysis, Risk Factor Modeling, Scenarios and adherence tests.

Asset classes, Investment opportunity analysis, Investment Instrument Selection, Hedge Policy.

Stress tests, Quantitative Screening, Clear metrics integrated with management.

Exact and always available information, Dynamic rebalancing.

Risk management.

Risk management holds a pivotal role in Skander's operations, being critical for protecting our investors' assets and ensuring the stability and resilience of our operations. The sophistication of our investment strategies, which include the use of leverage, derivatives, and foreign exchange, demand rigorous and constant control. In this context, risk management acts as a critical barrier against threats that could compromise our financial and institutional objectives, ensuring that each decision is made based on careful analyses and robust projections.
Our approach to risk management is characterized by technical rigor and total integration with operational processes. We use advanced real-time monitoring systems to identify and measure exposures, allowing quick and precise adjustments to volatile market conditions. It is not limited only to financial aspects; it also encompasses operational control and regulatory compliance. This includes ensuring that company practices are aligned with legal and ethical standards, reducing the probability of fraud or administrative errors. This comprehensive vision reflects our determination to maintain a safe operational environment aligned with global best practices.
At Skander, risk management is treated as a shared responsibility throughout the organization. This corporate culture fosters constant vigilance and promotes decisions based on rigorous data and detailed analyses. Our final objective is to balance return potential with mitigation of significant losses, protecting investors' interests and ensuring the longevity of our operations in a highly competitive market. Thus, we reaffirm our commitment to excellence in risk management as an indispensable pillar for sustainable success.
Risk management occupies a strategic position in Skander's operations, being essential for protecting our investors' assets and maintaining the solidity of our activities. The amplitude and sophistication of our investment strategies, which include the use of leverage, derivatives, and foreign exchange, demand rigorous and constant control. In this context, risk management acts as a critical barrier against threats that could compromise our financial and institutional objectives, ensuring that each decision is made based on careful analyses and robust projections.

Venture capital.

Our Venture Capital area is one of Skander's strategic pillars, combining decades of experience with a focused and selective approach. We invest in select companies to ensure deep commitment to their business development, providing strategic and operational support that accelerates the growth of our portfolio companies We operate in diverse sectors such as technology, health, and agriculture, and have already participated in various complete investment cycles, from foundation to business sale, accumulating vast experience and valuable connections.
Additionally, we establish strategic partnerships with the world's largest Venture Capital funds to co-invest in high-impact projects, enhancing our capacity to identify and support disruptive companies. Our hybrid approach, which combines proprietary capital with external investor resources, allows us flexibility to invest in different stages of the corporate life cycle, from initial-stage startups to businesses in global expansion.
With presence in major global markets -- United States, Europe, and Brazil --, we seek not only to maximize financial returns but also to contribute to strengthening innovation ecosystems. We support visionary entrepreneurs while creating sustainable value for our investors, fostering economic development in the regions where we operate.
Our Venture Capital area is one of Skander's strategic pillars, combining decades of experience with a focused and selective approach. We invest in few companies to ensure high dedication to business development, offering strategic and operational support that accelerates the growth of investees. We operate in diverse sectors such as technology, health, and agriculture, and have already participated in various complete investment cycles, from foundation to business sale, accumulating vast experience and valuable connections.