Johan Gunnesson is a Master Expert in Market, Counterparty, and Structural Risk Analytics at BBVA, where they have advanced from Risk Analyst to Senior Expert. They analyzed and developed economic and regulatory capital models, focusing on FRTB and XVA pricing solutions. Prior to BBVA, Johan worked as a Financial Engineer at Banco Cooperativo Español and was a Pre-Doctoral Researcher at the Instituto de Física Teórica. Johan holds a Master's degree in Financial Markets and Asset Management and a PhD in Theoretical Physics, among other qualifications.
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