Profil
Mr. David Buenfil Friedman is a Chief Executive Officer Latin America & Asia at Old Mutual Operadora de Fondos SA de CV SOSI and a Chairman at Aiva Investments S.A.
He was previously employed as a Chairman & Chief Executive Officer by Old Mutual Skandia Administradora de Pondos de Pensiones y Cesantías SA, Country Manager by Skandia Operadora de Fondos SA de CV SOSI, Director by DFJ Americas Fund and Wasatch Venture Fund; Founding Partner by Vidalink do Brasil, Managing Director by Haden Inc., Consultant by Booz Allen & Hamilton and Engineer by Gneral Motors.
Mr. Buenfil Friedman holds a degree in Electrical Engineering from Kettering University and a Master's degree in Business Administration from Wharton Business School and International Studies from Lauder Institute - University of Pennsylvania.
Anciens postes connus de David Buenfil Friedman
| Sociétés | Poste | Fin |
|---|---|---|
Skandia Administradora de Fondos de Pensiones y Cesantías SA
Skandia Administradora de Fondos de Pensiones y Cesantías SA Investment ManagersFinance Skandia is an active, prudent manager which invests in equity and fixed-income across sectors and market-caps, aiming to preserve and grow investor capital. | Directeur Général | 01/01/2013 |
Skandia Operadora de Fondos SA de CV SOSI
Skandia Operadora de Fondos SA de CV SOSI Investment ManagersFinance Skandia Mexico offers a wide range of investments, allowing portfolios to be structured through distinguished managers integrated into their extensive network of Investment Funds according to the needs of each client. The firm seeks to optimize profitability, without unnecessary risks, exclusively recommending funds with an AA/1 or 2 credit rating, preferably 100% debt, which can be only governmental or combined with private and banking. | Corporate Officer/Principal | 01/06/2009 |
Skandia Operadora de Fondos SA de CV SOSI
Skandia Operadora de Fondos SA de CV SOSI Investment ManagersFinance Skandia Mexico offers a wide range of investments, allowing portfolios to be structured through distinguished managers integrated into their extensive network of Investment Funds according to the needs of each client. The firm seeks to optimize profitability, without unnecessary risks, exclusively recommending funds with an AA/1 or 2 credit rating, preferably 100% debt, which can be only governmental or combined with private and banking. | Directeur Général | - |
Aiva Investments S.A.
Aiva Investments S.A. Investment ManagersFinance Aiva Investments conducts an investment process that is entirely directed towards achieving the financial goals of each investor, with a consistent track record of performance over the years. The Investments Committee conducts an analysis considering the medium to long-term macroeconomic fundamentals, analyzing the different indicators and historical data to come up with projections for the different asset classes. Based on the macro analysis and specific risk profiles, the Investments Committee comes up with the strategic asset allocation among the main asset classes, selecting the best instruments for each category. The long-term strategic vision is complemented by shorter term tactical allocations. The investment committee uses fundamental analysis as the basis for its strategies, considering both the top-down and bottom-up approaches. | Président | - |
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
Administrateurs
Exécutifs
Sociétés liées
| Entreprise privées | 3 |
|---|---|
Skandia Administradora de Fondos de Pensiones y Cesantías SA
Skandia Administradora de Fondos de Pensiones y Cesantías SA Investment ManagersFinance Skandia is an active, prudent manager which invests in equity and fixed-income across sectors and market-caps, aiming to preserve and grow investor capital. | Finance |
Skandia Operadora de Fondos SA de CV SOSI
Skandia Operadora de Fondos SA de CV SOSI Investment ManagersFinance Skandia Mexico offers a wide range of investments, allowing portfolios to be structured through distinguished managers integrated into their extensive network of Investment Funds according to the needs of each client. The firm seeks to optimize profitability, without unnecessary risks, exclusively recommending funds with an AA/1 or 2 credit rating, preferably 100% debt, which can be only governmental or combined with private and banking. | Finance |
Aiva Investments S.A.
Aiva Investments S.A. Investment ManagersFinance Aiva Investments conducts an investment process that is entirely directed towards achieving the financial goals of each investor, with a consistent track record of performance over the years. The Investments Committee conducts an analysis considering the medium to long-term macroeconomic fundamentals, analyzing the different indicators and historical data to come up with projections for the different asset classes. Based on the macro analysis and specific risk profiles, the Investments Committee comes up with the strategic asset allocation among the main asset classes, selecting the best instruments for each category. The long-term strategic vision is complemented by shorter term tactical allocations. The investment committee uses fundamental analysis as the basis for its strategies, considering both the top-down and bottom-up approaches. | Finance |
















