Fco Javier Achotegui Urrutia is an accomplished finance professional with extensive experience in market risk measurement and asset management. Currently serving as the Head of Market Risk Measurement at BBVA since September 2015 and holding multiple executive director roles at BBVA Asset Management since 2000, Fco Javier has expertise in asset allocation, pension funds, and equity and absolute return strategies. Fco Javier holds a Master's degree in Quantitative Finance from AFI and an Engineering degree from Universidad del País Vasco/Euskal Herriko Unibertsitatea.
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