Santander Asset Management
Marcos Aza, Ph.D, is currently a Senior Portfolio Manager at Santander Asset Management, where Marcos works with the Quantitative Solutions Team. Marcos also holds positions as an Associate Professor at both Universidad Pontificia Comillas ICAI-ICADE and Universidad Rey Juan Carlos, teaching subjects such as Corporate Finance, Derivatives, and Alternative Investments. Marcos has a diverse professional background, previously working in roles such as Senior Algorithmic Trading Quant at BBVA, Data Scientist at Banco Inversis, and Equity Derivatives Strategist at Santander España. Marcos has a strong educational background, holding degrees from Universidad Politécnica de Madrid, IESE Business School, Universidad Rey Juan Carlos, and Afi Escuela.
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.