Maria Satizabal

Portfolio Manager, Credit Strategy & Asset Allocation at BlueBay Asset Management

Maria is a Portfolio Manager in the Multi -Asset Credit team at BlueBay. Maria joined BlueBay in January 2008 and held positions as a risk analyst and assistant portfolio manager before moving to her current role in January 2021. Prior to BlueBay, Maria spent one year at Standard Bank Group in the Asset Management division where she was a senior performance analyst for emerging markets and high yield fixed income portfolios. From 2004 until 2007 she worked as a senior portfolio analyst at State Street Global Advisors focusing on LDI, fixed income, FX and equity funds. Maria holds an MSc in Mathematical Trading and Finance from Cass Business School in London and an MSc and BSc in Industrial Engineering from Universidad de Los Andes in Colombia and has passed the Investment Management Certificate.


  • Portfolio Manager, Credit Strategy & Asset Allocation

    Current role