Ignacio Epalza, CFA, currently serves as a Fixed Income & Multi-Asset Funds and ETFs Selection analyst for BBVA Quality Funds since March 2019, utilizing qualitative and quantitative methods for the analysis and selection of third-party fixed income products. Prior experience includes roles in due diligence for quality funds at BBVA Asset Management from November 2015 to February 2019, where Ignacio performed in-depth analyses of various fund offerings, and as a Credit Risk Analyst from January 2013 to November 2015, responsible for validating agency ratings and managing liquidity risk. Earlier experience includes a financial risk analyst position focused on investment mandate compliance at BBVA Asset Management in late 2012 and a market analyst role at Analistas Financieros Internacionales in early 2012. Ignacio holds a Master's degree in Banking and Finance from AFI (2011-2012) and a degree in Business Administration and Law from Universidad de La Rioja (2005-2010).
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