Javier Martinez

Capital Protected, ETF & Index Funds Manager at BBVA Asset Management en España

Javier Martinez is a highly experienced professional who has held various key roles in the finance industry. Javier currently serves as a Capital Protected, ETF & Index Funds Manager at BBVA Asset Management, overseeing a team managing 2 ETF and 18 Index Funds. With a background in quantitative finance and extensive experience in portfolio management, Javier has successfully navigated roles such as Counterparty Risk Vice President, International Markets Vice-President, and Portfolio Manager at BBVA. Their educational background includes a Master's in Quantitative Finance and a Master's Degree in Telecommunications Engineering.

Links

Timeline

  • Capital Protected, ETF & Index Funds Manager

    October, 2015 - present

  • Counterparty Risk Vicepresident

    July, 2012

  • Vicepresident In Global Structured Department

    May, 2010

  • Latam Microfinance Specialist

    October, 2006

A panel showing how The Org can help with contacting the right person.