Erik D. is a seasoned finance professional currently serving as Vice President at BBVA since May 2022, specializing in algorithmic trading and quantitative research within global markets. Previously, Erik held positions at BBVA as a Lead Associate and Associate, focusing on data science and algorithmic trading. Erik's earlier experience includes a role as Portfolio Analyst at AAM from September 2013 to December 2015, where responsibilities included portfolio construction, risk management, compliance monitoring, and reporting for a multi-strategy liquid alternatives fund. Erik holds a Master of Science in Mathematics from New York University, a Post-Baccalaureate in Mathematics from the University of Pennsylvania, and a Bachelor of Arts in Economics from Fordham University.
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