BBVA Asset Management en España
Taro Blair is a seasoned investment professional with extensive experience in asset management and trading. Currently serving as the Global Investment Process & Coordination lead at BBVA Asset Management since April 2011, Taro Blair facilitates solutions for portfolio managers while centralizing risk and compliance controls. Prior roles include co-managing equity dividend funds, leading project management for CIO and portfolio management teams, and serving as Head of Dealing at BBVA & Partners Alternative Investments, where significant cost optimizations were achieved. Taro Blair’s career initiated at All Trading Brokers Europe SA and progressed through companies such as ECN Access Europe, and NYFIX Europe, focusing on client management, trading functions, and system development. Taro Blair holds a BSc in Business Studies from Regent's University London and A Levels from Clifton College.
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