Listen "Episode 4 | Navigating Risks in Emerging Markets with Mauro Favini"
Episode Synopsis
In this episode of Beyond the Ticker, Mauro Favini, a senior portfolio manager at Vanguard, shares his journey from Argentina to managing billions in emerging markets. He discusses pivotal moments that shaped his career, the importance of resilience, and the opportunities and risks in emerging markets. Mauro emphasizes the significance of risk management, understanding market reactions, and the impact of inflation and governance on investments. He also shares personal lessons on discipline and the importance of learning independently in the finance industry.Key TakeawaysResilience is key in navigating volatile markets.Emerging markets present unique opportunities for active investing.Risk management is crucial for success in finance.Understanding market reactions can lead to better investment decisions.Inflation and currency pressures significantly impact emerging markets.Governance risk is a critical factor in evaluating corporate debt.Personal experiences shape investment strategies and perspectives.Learning independently is essential in the finance industry.Hope is not a viable investment strategy.Diversification helps mitigate risks in emerging markets.
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