Carlos Marín Gallardo

Portfolio Manager - Asset Allocation at BBVA Asset Management en España

Carlos Marín Gallardo, CFA, CAIA is a Portfolio Manager and Macro Investment Strategist at BBVA Asset Management. Carlos manages investment vehicles for institutional clients with a dynamic asset allocation approach. Carlos also collaborates on market analysis and macroeconomics for BBVA's strategic positioning. Prior to this, Carlos worked as a Teaching and Research Assistant in Economics Departments at Universidad Carlos III de Madrid and UCLM. Carlos holds a Master's in Economic Analysis and Bachelor's degrees in Economics and Business Administration.

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Timeline

  • Portfolio Manager - Asset Allocation

    February, 2019 - present

  • Macro And Investment Strategist

    May, 2013