About
Daniel Jannuzzi is a Portfolio Manager at Ameraudi Asset Management in New York, NY, where he oversees investment strategies and portfolio construction for a diverse client base. His primary responsibilities include managing multi-asset portfolios, conducting in-depth market analysis, and implementing data-driven investment decisions tailored to client objectives.
Jannuzzi has significant experience with fixed income, equities, and alternative assets, with a focus on global markets. Prior to joining Ameraudi, he served as Associate Director at Safra National Bank and was a Portfolio Manager at Magnetis Investimentos, where he specialized in structured products and emerging market strategies.
He holds a Certificate in Quantitative Finance from the CQF Institute, a degree in Fixed Income from NYU School of Professional Studies, and a specialization in Investment Banking from Saint Paul Escola de Negócios. His academic background also includes a bachelor’s degree in Economics from FACAMP and experience studying internationally in both the Netherlands and the United States. Jannuzzi is recognized for integrating quantitative techniques and risk management processes to optimize investment outcomes.
Career History
| Organization | Role | Date Range | Details |
|---|---|---|---|
| Ameraudi Asset Management | Portfolio Manager | Apr 2025 to Present | — |
| Safra National Bank | Associate Director | Jul 2022 to Mar 2025 | Investor and Private Banker specializing in high-net-worth clients, with a primary focus on portfolio construction, client relationship, asset allocation, and risk management. This role began at Delta... |
| Magnetis Investimentos | Portfolio Manager | Jan 2017 to Jul 2022 | Served as a Portfolio Manager for a quantitative asset management firm, leading portfolio construction, asset allocation, manager selection, and hedge fund due diligence. Specialized in developing Pyt... |
| BTG Pactual | Analyst | Dec 2013 to Jul 2016 | Responsible for conducting in-depth financial analysis and supporting strategy development within the Arbitrage Proprietary Trading Desk. My role involved monitoring market conditions, analyzing corpo... |
| S&P Global Ratings | Intern | Aug 2012 to Nov 2013 | Gained experience in financial analysis and credit assessment, working closely with senior analysts to evaluate the financial health and risk profiles of companies in the oil & gas, metals and mining,... |
Education
CQF Institute
Certificate in Quantitative Finance
2023 — 2023
NYU School of Professional Studies
Fixed Income
2019 — 2019
Saint Paul Escola de Negócios
Specialization, Investment Banking
2016 — 2016
FACAMP - Faculdades de Campinas
Bachelor’s Degree, Economics
2010 — 2013
Norbertuuscollege - Netherlands
High School, VWO
2006 — 2007
Fairmont Elementary School - United States
Elementary School
1997 — 1998