Ariacapital Asset

ASSET MANAGEMENT QUOTA AND PROFITABILITY FUNDS MANUALS AND POLICIES CONTACT

Asset Management

ARIA Capital Asset provides services for the structuring and management of Investment Funds, as well as the development of customized financial solutions for investors and companies. ARIA Capital Asset also has a wide range of structured products, such as Participation Investment Funds, Real Estate Investment Trusts, Credit Rights Investment Funds and Non-Standardized Credit Rights Investment Funds..



Aria Capital Asset Gestão de Recursos Ltda. ("Aria Capital Asset Management") does not sell or distribute shares of investment funds or any other financial asset. The information contained in this website is for information only, and therefore, should not be considered as an offer to acquire shares of investment funds. In addition, the information contained in this website does not constitute of any type of investment advice and does not constitute the prospectus provided by ANBIMA's Code of Regulation and Best Practices of Investment Funds and should not be used for this purpose. A careful reading of the investment fund prospectus and regulation by the investor is highly recommended when applying your resources. No information contained on this site constitutes of a solicitation, offer or recommendation for the purchase or sale of shares of investment funds, or any other securities. Aria Capital, its administrators, partners and employees are not responsible for errors or omissions in the information disclosed, nor for any damages caused directly or indirectly by the use of the information contained in this site. Investment funds do not count with the guarantee of the fund manager, the portfolio manager, any insurance mechanism or of Credit Guarantee Fund - FGC. Multi-equity funds with variable income assets may be exposed to a significant concentration of assets with few issuers, and therefore, its resulting risks. Aria Capital Hedge FIM is authorized to make investments in financial assets abroad. The fund adopts strategies with derivatives as an integral part of its investment policy. Such strategies, as they are adopted, may result in significant equity losses to its shareholders, which may even lead to excessive losses of the capital applied and the consequent obligation of the shareholder to provide additional resources to cover the Fund's loss. The methods used by Aria Capital Asset Management to manage the risks to which the fund is subject do not guarantee against possible equity losses that may be incurred by the Fund. There is no guarantee that the Fund will have the tax treatment stablished for long-term funds. Past profitability does not represent a guarantee of future profitability. Without the prior and express authorization of Aria Capital Asset, the content available on this site cannot be copied, reproduced or distributed in its total or in part.