Santander Asset Management
Julian Gomez Faustino, CFA, CAIA, CIPM, is the Chief Risk Officer at Santander Asset Management since May 2016, where responsibilities include managing investment vehicle risks and ensuring compliance with board-approved risk limits. Previously, Julian served as the General Director of Financial Regulation and Economic Studies at CONSAR from May 2009 to April 2016, overseeing the implementation of financial regulations for pension funds and asset managers. Julian also held the position of Deputy Director General of Risk Management at CONSAR, focusing on the evaluation of financial risks for Mexican Pension Funds. Earlier experience includes serving as Director of Investments and Quantitative Analyst at Instituto para la Protección al Ahorro Bancario from May 2005 to April 2009. Julian holds an MBA in Finance and Marketing from The Wharton School and multiple degrees in Finance, Applied Mathematics, and Economics from Instituto Tecnológico Autónomo de México.
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Santander Asset Management
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We are an international asset manager with strong local roots in Europe and Latin America. With presence in 11 countries, we have assets of more than €200 billion* working for institutional clients, individual clients, and intermediaries such as Santander banks in all geographies. Our knowledge in Latin America makes us real experts on the region, allowing us to provide you with unique opportunities to invest. Our philosophy is to manage our investments to capture maximum upside but also downside protection. We offer a comprehensive range of investment solutions, from investment funds to illiquid assets, to provide right answers to your needs.