Profil
Mr. Jorge Meyer de Pablo is a Chief Investment Officer at Administradora General de Fondos Security SA.
He was previously employed as, Chief Executive Officer by Securitizadora Security SA, Chief Investment Officer by Cruz del Sur Administradora General de Fondos SA, BICE Administradora General de Fondos SA, Deputy Head of Investments by AFP Cuprum SA, Portfolio Manager by Banco Central de Chile and Assistant Vice President by Bank of Australia.
Mr. Meyer de Pablo holds a degree in Commercial Engineering from Universidad de Santiago de Chile and Master's in Mathematics in Finance from New York University.
Postes actifs de Jorge Meyer de Pablo
| Sociétés | Poste | Début |
|---|---|---|
Administradora General de Fondos Security SA
Administradora General de Fondos Security SA Investment ManagersFinance AFG Security manages mutual funds that cover a range of asset classes including short, medium and long-term Chilean and international fixed-income and Chilean and international equities. The firm's fund range includes short-term bond funds, medium and long-term bond funds, capitalization funds, mixed funds, free choice funds and qualified investor mutual funds. | Directeur en chef des Investissements | 01/03/2021 |
Anciens postes connus de Jorge Meyer de Pablo
| Sociétés | Poste | Fin |
|---|---|---|
Securitizadora Security SA
Securitizadora Security SA Finance/Rental/LeasingFinance Provides mortgage services | Corporate Officer/Principal | 01/02/2021 |
Administradora General de Fondos Security SA
Administradora General de Fondos Security SA Investment ManagersFinance AFG Security manages mutual funds that cover a range of asset classes including short, medium and long-term Chilean and international fixed-income and Chilean and international equities. The firm's fund range includes short-term bond funds, medium and long-term bond funds, capitalization funds, mixed funds, free choice funds and qualified investor mutual funds. | Responsable de la banque privée | 01/05/2019 |
Banco Central de Chile SA (Investment Management)
Banco Central de Chile SA (Investment Management) Financial ConglomeratesFinance Banco Central de Chile-IM is an active manager which manages the Central Bank of Chile's foreign exchange reserves in order to safeguard currency stability and the normal functioning of domestic and external payment systems. Their foreign exchange reserves can only be invested in foreign currencies, gold or fixed-income notes, bills or bonds, issued or guaranteed by foreign states, central banks or foreign or international banks or financial institutions. The firm's investment policy considers its impact on financial results and associated risks within the Central Bank's balance sheet and potential foreign currency liquidity needs. This policy is defined using a benchmark or reference structure to guide and evaluate investments and set the parameters for decisions regarding market and credit risk. Banco Central de Chile-IM invests foreign exchange reserves in assets under an Investment Portfolio including short- and long-term foreign currency assets used to respond to unforeseen contingencies and long-term requirements, and a Liquidity Portfolio, designed to cover requirements foreseeable in the short term. The firm's risk management policy defines a set of permissible deviations from the reference structure regarding duration, maturity, currency and limits applied to different types of investments. It limits liquidity, market and credit risk, including banking, sovereign, supranational, external financial institution and counterparty risk. Operational risk is controlled by segregating functions, responsibilities and by regular internal and external controls and audits. To complement the internal management of foreign exchange reserves, they also have an external management program for a small portion of reserves. This program provides a benchmark to evaluate internal reserves management, contributes to enhancing returns on the Investment Portfolio, and facilitates the transfer of knowledge and technology. | Gestionnaire de Portefeuille-Actions | - |
AFP Cuprum SA (Investment Management)
AFP Cuprum SA (Investment Management) Investment ManagersFinance AFP Cuprum-IM is an active manager which aims to ensure adequate profitability and investment security of their pension funds. They analyze investment alternatives following a top-down approach to allocate asset classes and utilize a bottom-up approach to select specific instruments. | Gestionnaire de Portefeuille-Actions | - |
BICE Inversiones Administradora General de Fondos SA
BICE Inversiones Administradora General de Fondos SA Investment ManagersFinance BICE Inversiones is an active manager which seeks to achieve an optimal risk/return for clients. | Directeur en chef des Investissements | - |
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 | 6 |
|---|---|
BICE Inversiones Administradora General de Fondos SA
BICE Inversiones Administradora General de Fondos SA Investment ManagersFinance BICE Inversiones is an active manager which seeks to achieve an optimal risk/return for clients. | Finance |
Cruz del Sur Administradora General de Fondos SA
Cruz del Sur Administradora General de Fondos SA Investment ManagersFinance Provides investment advice | Finance |
Securitizadora Security SA
Securitizadora Security SA Finance/Rental/LeasingFinance Provides mortgage services | Finance |
AFP Cuprum SA (Investment Management)
AFP Cuprum SA (Investment Management) Investment ManagersFinance AFP Cuprum-IM is an active manager which aims to ensure adequate profitability and investment security of their pension funds. They analyze investment alternatives following a top-down approach to allocate asset classes and utilize a bottom-up approach to select specific instruments. | Finance |
Banco Central de Chile SA (Investment Management)
Banco Central de Chile SA (Investment Management) Financial ConglomeratesFinance Banco Central de Chile-IM is an active manager which manages the Central Bank of Chile's foreign exchange reserves in order to safeguard currency stability and the normal functioning of domestic and external payment systems. Their foreign exchange reserves can only be invested in foreign currencies, gold or fixed-income notes, bills or bonds, issued or guaranteed by foreign states, central banks or foreign or international banks or financial institutions. The firm's investment policy considers its impact on financial results and associated risks within the Central Bank's balance sheet and potential foreign currency liquidity needs. This policy is defined using a benchmark or reference structure to guide and evaluate investments and set the parameters for decisions regarding market and credit risk. Banco Central de Chile-IM invests foreign exchange reserves in assets under an Investment Portfolio including short- and long-term foreign currency assets used to respond to unforeseen contingencies and long-term requirements, and a Liquidity Portfolio, designed to cover requirements foreseeable in the short term. The firm's risk management policy defines a set of permissible deviations from the reference structure regarding duration, maturity, currency and limits applied to different types of investments. It limits liquidity, market and credit risk, including banking, sovereign, supranational, external financial institution and counterparty risk. Operational risk is controlled by segregating functions, responsibilities and by regular internal and external controls and audits. To complement the internal management of foreign exchange reserves, they also have an external management program for a small portion of reserves. This program provides a benchmark to evaluate internal reserves management, contributes to enhancing returns on the Investment Portfolio, and facilitates the transfer of knowledge and technology. | Finance |
Administradora General de Fondos Security SA
Administradora General de Fondos Security SA Investment ManagersFinance AFG Security manages mutual funds that cover a range of asset classes including short, medium and long-term Chilean and international fixed-income and Chilean and international equities. The firm's fund range includes short-term bond funds, medium and long-term bond funds, capitalization funds, mixed funds, free choice funds and qualified investor mutual funds. | Finance |
















