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.