The Risk Management Team at BBVA Asset Management en España is responsible for identifying, assessing, and mitigating risks across the asset management portfolio. This includes evaluating credit, counterparty, settlement, and liquidity risks, as well as ensuring compliance with ESG (Environmental, Social, and Governance) criteria. The team leverages quantitative analysis and performance metrics to safeguard the firm's investments and enhance decision-making processes, thereby supporting the company's commitment to excellence and innovation in asset management.
Carlos Racionero Gar...
Senior Quantitative Analyst
Irene Sanchez Torreg...
Manager Gestión De Carteras
Ivan Fernandez Garci...
Credit, Counterparty, Settleme...
Kaloyan Momchilov Di...
ESG And Global Risk Management
Lucía González M.
Global Financial Risk - Credit...
Oscar Pascual
Chief Risk Officer (cro)
Raquel Gallego Vázqu...
Alternative Investment Valuati...
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