London
Stock-market analyst at Morgan Stanley and previously at BBVA, he has been the systematic leader covering the Spanish Real Estate industry for the last decade and more recently Eastern Europe.
An Economist and M.B.A. (IESE) qualified, he focused on finance during his university career (Dartmouth, Traer, Lieja, Paris and Sevilla) and professionally (Morgan Stanley, BBVA, AB Asesores, Santander Investments and Arthur Andersen). He is an associate lecturer to various MBA programmes and author of the book “Análisis y Valoración Sectorial” (Ariel – 2006) he has created and managed a Real Estate investment fund in Bulgaria and has collaborated with various institutes (IREA, Warburg Pincus) on corporate operations within the industry over the last few years.