Madrid Area, Spain
Investment strategist, Quant, Developer
Investment Banking
Education
CEMFI 1988 — 1990
Master, Economics & Finance
Universidad del País Vasco/Euskal Herriko Unibertsitatea 1983 — 1988
Licenciado (5yr), Mathematics - Numerical Analysis
Experience
-- May 2012 - Present
BBVA March 2011 - March 2012
BBVA 2009 - March 2011
BBVA 2007 - 2009
Fineco SGIIC 2004 - 2006
Credit Lyonnais June 2001 - June 2004
Banco Guipuzcoano March 1999 - March 2001
Societe Generale 1998 - 1999
Société Générale Madrid 1995 - 1998
Skills
Economics, Visual Studio, Volatility, Lua, Scheme, Eclipse, Libraries, Delphi, C#, FX Options, VB.NET, R, TSP, Exotic Derivatives, Bonds, Mutual Funds, MS Office Suite, Quantitative Research, Spreadsheet Design, Core Java, VBA, Trading, Equities, Fixed Income, Structuring, Green Belt, Gcc/g++, Statistics, STL, Equity Derivatives, Analytics, Fortran, Software Development, Mathematics, Object Oriented Design, Fund Managers, Interest Rate..., Gauss, Numerical Analysis, Scrum, Monte Carlo Simulation, Forecasting, Linux, Econometrics, FX, Windows, Quantitative Analysis, Matlab, SQL, C++